Hello,
I'm planning to have my portfolio divided this way
30% Base ETFs
30% Divided ETFs/REIT
30% Growth ETF
10% Bitcoin/Commodities/Individual Shares
I'm choosing my base ETF's:
15% $VUSA (-0,29 %) because of risk and stability
5% $QQQM Considering the future, and I want to add a bit more technology without a big risk.
10% $IWRD (-0,08 %) to Reduce a bit the US dependecy
Would love to hear your comments