I'm a 20 year old with a long-term horizon. I'm thinking of creating a portfolio with the following:
US Large Cap (VOO) 25%
US Small Cap Value (SLYV) 15%
US Small Cap Growth (VIOG) 8%
Int Large Cap Blend (VEA) 15%
Int Small Cap Value (DLS) 12%
Emerging Markets (VWO) 10%
US Real Estate (VNQ) 10%
Weed stocks (WEED & ACB) 5%
The total MER of this portfolio would be 0.15%. I am looking for long-term growth, any advice and comments would be great! I am new to this sub so sorry if this is a dumb question.
Submitted August 13, 2019 at 03:32PM by osmows https://ift.tt/33ys0kr