BuiltToLast's Portfolio: 2023-2025*

Friends, I have made this Portfolio, last week and is now deployed.

The risk would be categorized around 60% but the same time it has the ability to churn around 50-60% CAGR for the next 2 years. It will not be advised for anyone to put his/her entire PF allocation according to this, but at the same time, I would recommend everyone to go through each firm in detail. This PF is expected to generate some alpha above and beyond the stable large caps and an attempt has been made to keep it internally-hedged.

Up for comments.

Disclaimer: No buy/sell recommendation but I am invested in all of them with varying allocations.
*2025: Return period will change if the returns are realized earlier.