A little background - I’m in my early-20s and from India and already have a sizeable chunk invested at home. I wanted to diversify into international markets, especially the US. Currently single and no debt.
Based on what I have researched so far I have made the following portfolio. Any recommendations and suggestions are welcome.
US - 50% divided into
VUAA - 25%
SPMO - 15%
AVUV - 10%
Developed ex US - 30% divided into
AVDV - 20%
AVIV - 10%
Emerging Markets - 20%
AVES - 20%
Goals are long term wealth accumulation.
Risk tolerance is moderate to high.
Time horizon is a minimum of 25-30 years since I’m just 22 right now so short term volatility and drawdowns are not really a concern. I’ll mostly just put in a lumpsum every few months and forget.
Am I tilting too much? And should I consider adding an international momentum ETF as well to complement value? Any allocations I might want to change?
On different note should I consider adding metal exposure at these levels? I was thinking XME mainly but am also considering GDE (even though it overlaps alot with my existing portfolio) and other copper ETFs.
Thanks in advance.