Q: I have tended to rebalance my portfolio annually (usually in the summer) but will trim a stock at any time if it increases significantly. First, is annually enough? Second, does the continued and precipitous drop in energy and energy related stocks change your answer to the first question? If I wait until I think oil has hit the bottom, aren't I guilty of trying to time the market? But if I buy "too soon" (i.e. balance quarterly), I keeep putting money into a losing sector.
Appreciate your insight.
Paul F.
Appreciate your insight.
Paul F.