barbhaya
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Holdings
$$$
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90D
YTD
ALL
Watchlist
...
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Dividends
10/08
SLB
09/16
VTRS
09/14
GOOGL
09/10
XOM
,
MSFT
09/08
WMT
,
JNJ
09/03
BND
09/01
PFE
,
V
08/28
SBUX
08/21
AMP
08/14
ABBV
Portfolio
38 holdings
0.02% expense ratio
US Total Market 24.7%
US Large Cap 9.87%
International Developed 3.64%
Bonds 0.963%
Cash 16.0%
Other 19.8%
World Total Market 25.0%
FI progress
??% ??x expenses
💦 47.8%
Contributions
💪 52.2%
Gains
16. A deal is a deal. ("Melora").
+
Achievements
🎂 over 10 years invested