02-14-2021, 07:37 PM
When a BIG drop comes along, just about everything become correlated and diversification becomes but an investing theory.
What's needed is a better timing component to avoid the massive drawdowns. Outside of DGI my other 2 portfolios barely got nicked in the 2015, 2018 and 2020 swoons.
What's needed is a better timing component to avoid the massive drawdowns. Outside of DGI my other 2 portfolios barely got nicked in the 2015, 2018 and 2020 swoons.