I’ve been pretty much all-in on tech and growth since 2020, and honestly it’s worked out way better than I expected. Lately though, I’ve been thinking about building an actual core portfolio and just keeping growth as a satellite position. Maybe even going 50/50. The idea I keep coming back to is basically an international take on the Golden Butterfly: 40% VT 20% SHY 20% TLT 20% GLD Curious what you guys think. Am I overthinking it after a great run, or does this make sense? submitted by
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