Aggressive ETF Portfolio
The Aggressive ETF Portfolio is built for investors with a high risk tolerance and a long time horizon for aggressive investment growth. It contains an approximate [80% | 20%] stock to bonds mix. The Aggressive ETF Portfolio is based on an M1 Finance portfolio and uses Modern Portfolio Theory to provide the optimal portfolio allocations based on the trade-off between risk and return, while also minimizing expense fees. ETFs are a great way to easily add diversification to a portfolio.
Dividend Yield: 1.899%
Expense Ratio: 0.05%
1 Year Return: 11.70%
3 Year Return: 27.86%
5 year Return: 67.38%
VEA - Vanguard Developed Markets ETF (29%)
VOO - Vanguard S&P 500 ETF (26%)
VB - Vanguard Small -Cap ETF (14%)
VCIT - Vanguard Intermediate -Term Corporate Bond ETF (11%)
VWO - Vanguard Emerging Markets ETF (6%)
VO - Vanguard Mid -Cap ETF (6%)
VNQ - Vanguard Real Estate ETF (5%)
BNDX - Vanguard Total International Bond ETF (3%)