INVESTMENT ALLOCATION

Curious how individual investors see the business/funds on here fitting into their portfolio allocation.

Say you have investments in Public Equity, Bonds, RE, and Commodity funds. Then you start investing in these private companies/funds.

I've heard <10% is the a good range risk-wise, but some like being higher.
What do your allocations look like (ideally or actually) and what's your rationale)?



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