Long-Term Portfolio Rebalancing Strategies That Maximize Risk-Adjusted Returns

Long term portfolio rebalancing and asset allocation strategy concept

Many investors believe rebalancing lowers returns.In reality, disciplined rebalancing often improves long-term performance relative to risk. 1. Forces “Buy Low, Sell High” Rebalancing automatically: This removes emotional decision-making and applies systematic investing discipline. 2. Prevents Hidden Risk Build-Up Unbalanced portfolios often become overexposed to one asset class right before downturns.Rebalancing keeps diversification intact, supporting the … Read more