My portfolio composition/allocation: 30% Real Estate (landholdings), 20% Stocks, 10% ETF's, 10% Mutual Funds , 10% Bonds, 10% Money Market and 10% Cryptocurrency. I never rebalance my real estate. My Stocks will only be rebalanced when it is outside my risk tolerance threshold. ETF's, Mutual Funds and Bonds annual interval. Money Market every quarter. Cryptocurrency as deem necessary.