So, the portfolio I have in mind is: - SWPPX for the S&P 500 - SWTSX for Total Stock Market - DIA for the Dow - VTWO for the Russell 2000 - VTIAX for the Total Int’l Stock Market - IPO and IPOS for IPOs (because yes) - SCHH for U.S. REITs - RWO for Global Real Estate - BKAG for Total Bond Market
I don’t know the weight each fund will have on my portfolio yet, I don’t know where to start.
I’m wondering if you guys think this’ll be too diversified or if any of these are unnecessary, like having the Dow and S&P in the same portfolio.
Submitted July 01, 2021 at 11:55PM by areintelligent https://ift.tt/3haXMg3