What does your ETF portfolio look like going forward to 2025?
Just curious,
What does your ETF & Stock portfolio look like going forward to 2025?
VFV (50%) (Top 500 companies in the US), XEF (20%) (Developed International), XIC (20%) (Total CAD Market) FTBC (10%) (Fidelity Bitcoin).
I used to have TEC.TO but I took it out since the top 6 tech companies are already in VFV with less weight; however, still a decently high percentage. This gives me better diversification with focusing on the top 500 companies in the US. I was in between XUU and VFV since they’re almost identical with XUU focusing on the total US market. However,; with my focus on tech, I figured VFV is a better option.
I don’t know if I should add XEC (Emerging companies) or a high dividend ETF like XEI, since I want to keep it simple. What are your thoughts?