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On European equity drawdowns and rebalancing thoughts
Hey everyone, fairly new here to serious long-term investing in European equities like the DAX. I've been watching some of these pullbacks lately and it got me thinking about portfolio rebalancing. When do you typically decide it's time to rebalance, especially after a significant drop but before a clear recovery? Just curious how seasoned folks approach that decision.
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Rebalancing on the way down usually means selling your winners to buy more losers. I wait for signs of recovery or for my target allocations to be significantly off before messing with it.