I (27M)started investing and DCAing last year, my initial plan was 50% VOO, 20% SPMO, 10% VXUS, 10% AVUV and 10% AVDV. All of them performed well, there are some drifts here and there but I weight them by buying more of the underweight ETF and less on the overweight one, so they are pretty much at around 50/20/10/10/10. I am currently thinking of lowering the SPMO and increasing exposure to the international market (still haven’t decided which one I will increase the allocation just yet) and need some thoughts and inputs from you guys.