My portfolio has 7 holdings: 6 stock funds, 1 bond fund. It has a 89/10/1% allocation in stocks/bonds/other.
Strategy: Long term (20 years until retirement) Please point out obvious mistakes, or how you might improve this portfolio. Thank you for your help!
Submitted April 25, 2017 at 08:51AM by Passing_Torch http://ift.tt/2orOWRa