Final portfolio allocation advice
Hi all
I am almost finished planning a restructured portfolio for myself, focusing on the following allocation rules:
20% large cap (SPYI + QQQI) 20% Mid cap (IJH) 20% small cap (CSB + IWMI) 20% international (IDVO + NIHI)
My final 20% of allocation is somewhat undecided, but i am leaning towards SGOV or something similar. Generally looking for exposure unrelated to the above categories.
I was considering an even exposure between gold, silver, copper/mining, and SGOV as i mentioned above, but thought I would ask for other opinions on what would best be suited to my final 20% allocation before moving forward.