I just rebalanced, what are your thoughts?
Old portfolio:
VOO: 80%
Bitcoin: 20%
New Portfolio:
VT: 70%
SCHD: 15%
Bitcoin: 14%
Ethereum: 1%
This is my long term portfolio. 20+ year time horizon. I have plenty of emergency cash in the bank. The BTC and ETH holdings are my speculative corner of my portfolio. I accept that it could go to zero. I dollar cost average monthly. Making a tactical shift to VT for international exposure and SCHD as a more defensive position and value play. Mag 7 seem super frothy to be all in VOO at this point.