Finally was able to find an equilibrium, so I think I will keep this allocation for a while.
However I will not put any more money in $O (-0.13%) and will probably exit at breakeven to buy more of the growth stocks I have now, and maybe increase the $INTC (-1.21%) position as well.
Got any tips? Keep in mind this is going to be my portfolio for the next few years at least, 100$ biweekly going in!