I would like everyone's thoughts on my port. Im wondering if I should treak it a bit with inflation/interest rate worries on the horizon. My time horizon is 10 years. FSMAX 8% FBALX 9% FSKAX 10% FXAIX 10% APPL 5% MSFT 4% BA 2% CRM 2% COST 3% GM 3% AMZN 4% NVDA 3% AMD 3% HD 4% O 5% DIS 4% PYPL 2.5% RIOT 1.5% BITF 1.5% CVS 2.5% CHPT 1.5% ABNB 1.5% PL 1.5% STEM 1.5% SOFI 2.5% CASH 5% Any criticism is definitely welcome! Thanks!