New to investing and building my own portfolio. My goal when building this was combined exposure towards aggressive growth, well diversified in sectors while being tech forward, volatile with some downside protection, and tax efficient. I tried to make this as cohesive as possible.
First post to this reddit so apologies if I’m breaking any rules. How would you rate this and would you make any changes?
ROTH
—— VTI — 23%
—— SPMO — 14%
—— IDMO — 12%
—— IGM — 12%
—— SMH — 10%
—— AVUV — 15%
—— AVDV — 14%
HSA
—— VTI — 18%
—— SPMO — 12%
—— IGM — 25%
—— SMH — 12%
—— AVUV — 28%
—— AVDV — 5%
TAXABLE BROKERAGE
—— VTI — 45%
—— SCHG — 30%
—— FTEC — 15%
—— VEA — 10%