I am 31M with £2m invested. I am not sure if my portfolio should have more or less risk. I am looking to maximise returns before I start a family in c.4 years. Should I shift more into individual stocks or does my current portfolio seem ok?
78% is invested in ETFs e.g. S&P500 and World trackers
22% is invested in individual stocks:
\- 3.5 % Berkshire Hathaway
\- 3% Google
\- 3% Amazon
\- 2% Meta
\- 2% Ondas
\- 2% Rocket Lab
\- 2% ASTS
\- 1% Reddit
\- 1% MercadoLibre
\- 0.5% NBIS
\- 0.5% IREN
\- 0.5% Nvidia
\- 0.5% Netflix
\- 0.5% NVO & SLS