Personally, this is how I would build a portfolio at different risk levels. I don't think there is one perfect allocation for everyone, but this is what makes sense to me. I would increase Bitcoin and semiconductor exposure as I become more comfortable with risk, while reducing gold and broad-market ETFs. QQQM stays at 20% because I would like to keep some Nasdaq exposure at every risk level. Risk Level Gold VOO / VT QQQM SMH Bitcoin 1 (Very Low) 40% 40% 20% 0% 0% 2 (Low) 35% 35% 20% 5% 5
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