Review my portfolio
Risk tolerance: aggressive
Investment horizon : 10-12 yrs
Funds
Hdfc flexi cap - 32000 - 32%
Edilweiss mid cap - 23000 - 23%
Bandhan small cap - 20000 - 20%
Mirae s&p 500 - 15000 - 15%
Axis Gold fof - 10000 - 10%
Let me know what are your thoughts on this
Reason to select mostly investing in equities for growth in the long run and gold as hedge and to diversify