Hello All!
I am 23 y/o, male.
I came up with this strategy after a lot of prompt engineering. I thought about it and I would like more opinions about it.
I am familiar with the concept of factor tilted investments and the theories of market efficiency/inefficiency.
This is what I came up with, to hold for the next 20 years. The idea is to get the highest probability of maximum reward.
Portfolio:
50% XNAS ( NASDAQ 100 )
50% AVWS ( Avantis Global Small Cap Value )
I request your honest opinions. Thanks in advance!