Thread Rating:
  • 0 Vote(s) - 0 Average
  • 1
  • 2
  • 3
  • 4
  • 5
Balancing
#4
For the construction phase (3 yrs) I decided to do a deposit weighting. I allow a few double positions (AAPL). If a position would double over night I might take some and buy more income elsewhere. After the construction phase perhaps a capital weighting (deposits plus realized gaines). The distribution phase is far, so I have no idea. Maybe a mixture of market and income weight. If something goes over the limit I would probably let it run and use a trainling stop loss. I guess it will also depend on the income: what we will have and what we need to secure. So at some point I might want to sell a portion of AAPL and buy IBM for example ;-)
Reply


Messages In This Thread
Balancing - by crimsonghost747 - 05-04-2017, 08:03 AM
RE: Balancing - by DividendGarden - 05-04-2017, 09:22 AM
RE: Balancing - by Dividend Watcher - 05-04-2017, 04:14 PM
RE: Balancing - by Forticus - 05-05-2017, 10:21 AM



Users browsing this thread: 1 Guest(s)