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critique my 20-30+ year portfolio
Investor summaryNeutral
User shares a diversified 20-30 year portfolio allocation including US core, international, value, and energy tilts, seeking feedback.
Post body
|Fund|Role|Target %|Target $|
|:-|:-|:-|:-|
|VOO|Broad US core|34%|$134,590|
|VXUS|International (incl. EM)|19%|$75,210|
|AVUV|US small-cap value|11%|$43,540|
|VGT|Single tech tilt|8%|$31,670|
|SCHD|Value / quality|7%|$27,710|
|BRK.B|Value anchor|6%|$23,750|
|VNQ|Real estate|5%|$19,790|
|XLE|Energy tilt|5%|$19,790|
|VWO|EM overweight|5%|$19,790|
suggestions?
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