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The Motley Fool January 29, 2009 Dan Caplinger |
Why Bogle Doesn't Bother to Rebalance Before you rebalance your portfolio, you should understand exactly why you're rebalancing -- and what impact it will have on your overall portfolio. |
The Motley Fool August 11, 2009 Dan Caplinger |
The Best Reason to Sell the Rally Now After just a few months, could it already be time to rebalance your portfolio again? |
The Motley Fool February 25, 2009 John Rosevear |
Is Your Portfolio Stuck in 2006? In general, it is a good idea to rebalance your portfolio every couple of years to ensure that it's properly balancing risk and reward consistent with your long-term goals, but rebalancing may not be the right thing to do right now. |
The Motley Fool January 7, 2009 Dan Caplinger |
The Bear's Not Over Yet Despite the more positive attitude investors adopted in the New Year, don't expect stocks to go straight up from here on out. |
The Motley Fool February 9, 2010 Dan Caplinger |
Don't Let Your Investments Blindside You Do it yourself and know what you're getting. There are some things you're better off doing yourself and managing your retirement savings is one of them |
The Motley Fool May 7, 2009 Dan Caplinger |
Do This Before You Buy (or Sell) the Rally With the downs and ups of the market, how much of your money should you have in stocks right now? If you look at the rally and say "as much as possible," then you haven't learned as much from the bear market as you should have. |
The Motley Fool June 3, 2009 Dan Caplinger |
Don't Repeat This Wealth-Killing Mistake Your patience has now been rewarded. Don't blow it again. |
The Motley Fool September 14, 2006 Ryan Popple |
When Should I Rebalance? Rebalancing a portfolio works best when it's linked to performance. Asset allocation can not only manage risk, it can also increase portfolio returns. |
The Motley Fool April 27, 2009 Dan Caplinger |
The Crazy Thing You Already Should Have Done The time you should be most interested in getting back into stocks is when it seems like only a crazy person would buy them. |
The Motley Fool January 21, 2009 Dan Caplinger |
Want to Quit Someday? Don't Blow It Now Increasingly, 401(K) investors are succumbing to the pressure to sell -- even if it means giving up on ever being able to retire. |
The Motley Fool October 12, 2010 Kevin Brosious |
Rebalance and Win With one quick move, your portfolio could have already recovered from the Great Recession. |
The Motley Fool November 25, 2008 Dan Caplinger |
Did Asset Allocation Work? Some funds claimed to protect you from the downturn. Did they deliver? |
The Motley Fool February 3, 2011 Dan Caplinger |
How Investors Beat the Great Recession A simple strategy brought many back to even. Many investors use asset allocation strategies to spread their risk across various types of investments. |
The Motley Fool November 20, 2009 Dan Caplinger |
Why These Big Winners Are Really Losers Some stocks have done extremely well during the rally, but they fell so much in the lead-up to the crisis that they're still trading well below 2007 levels. |
Financial Planning December 1, 2008 Gobind Daryanani |
Balancing Acts How do you rebalance assets in these turbulent times? A new approach, called opportunistic rebalancing, squeezes more alpha out of rebalancing. |
The Motley Fool May 13, 2009 Dan Caplinger |
No Rally Can Help These Stocks For many investors, the losses they've suffered have been so bad that there's almost no possibility they'll ever earn back what they've lost. |
The Motley Fool April 8, 2009 Dan Caplinger |
The Biggest Blunder in 40 Years Looking at the past 40 years, would you know which type of investments would have produced the best returns? Hint: It's not stocks. |
The Motley Fool February 23, 2007 Dan Caplinger |
Don't Leave Your Investments on Autopilot An occasional look can reveal profitable adjustments to your portfolio. |
The Motley Fool June 11, 2009 Dan Caplinger |
This Smart Move Will Save Your Retirement Leaving your investments alone while continuing to make new contributions is more likely to pay off in the long run. |
The Motley Fool May 4, 2009 Dan Caplinger |
4 Smart Solutions for a Risky Portfolio After a major recovery that has sent stocks up nearly 30% from their recent lows, now's a good time to catch your breath and make sure your portfolio will act the way you want it to going forward. |
The Motley Fool November 17, 2009 Dan Caplinger |
Do This and Avoid the Next Lost Decade One simple thing is all it would have taken. Even if major indexes can't rebalance, that doesn't mean that you shouldn't. |
The Motley Fool April 22, 2009 Dan Caplinger |
The Wrong Way to Make Back Your Losses If you've seen massive losses in your net worth during the bear market, you undoubtedly want to earn your way back to breakeven, at least. Yet upping the risk level on your portfolio will likely leave you a whole lot poorer. |
The Motley Fool April 17, 2009 Dan Caplinger |
This Is the Only Way You'll Earn 10% Returns Great returns aren't automatic anymore. But you can still get them. |
The Motley Fool January 22, 2009 Dan Caplinger |
Will Seizing This Opportunity Sink You? Everybody wants to pick a sure winner. But in the stock market, there's no such thing. Even if you think the market's poised to skyrocket in the coming years, you still shouldn't bet your entire nest egg on it. |
The Motley Fool April 29, 2008 Hanson & Richards |
Are You Prepared for a Market Apocalypse? Never ever stop thinking about tomorrow. |
The Motley Fool December 23, 2009 Dan Caplinger |
The Key to Investing Better in 2010 Don't be unhappy with your investment results. Better times may be ahead. |
Financial Planning June 1, 2011 Craig L. Israelsen |
The Rebalancing Premium The principle behind a traditional 60/40 investment portfolio is balancing two asset classes - large-cap U.S. stocks and U.S. bonds. |
The Motley Fool October 10, 2008 Dan Caplinger |
The Hidden Danger Inside Your Portfolio Think you're diversified? Think again. The recent flight to safety in the fixed-income markets reveals the distinctions among different types of bonds. |
The Motley Fool January 25, 2008 Rex Moore |
You Missed the Best Day to Buy But you still haven't missed your chance. There's always tomorrow. |
The Motley Fool November 5, 2008 Dan Caplinger |
What to Do When the Dow Hits 12,000 Despite gaining nearly 1,500 Dow points from the October closing lows, the stock market isn't close to convincing many technical traders that the bear market is over. |
The Motley Fool November 9, 2004 David Braze |
Calm for the Storm: Asset Allocation The market is still down from its March 2000 peak. Here's how to protect your assets from further drops. |
Financial Advisor November 2010 James Picerno |
Rethinking Rebalancing Is it a risk management tool or a source of alpha? Maybe it's both. |
The Motley Fool February 25, 2009 Rex Moore |
You Missed the Best Day to Buy If the current craziness is keeping you away because you fear a huge drop, you're ignoring the advice of some of history's top investors. |
The Motley Fool October 22, 2009 Selena Maranjian |
Should You Have Been in Bonds? When stocks are hurting, bonds look really attractive. But that doesn't mean you should dump your whole stock portfolio and run to their fixed income embrace at the first sign of trouble. |
Financial Planning December 1, 2005 John Nersesian |
Rebalancing Act One of a planner's most difficult tasks in getting clients to implement a financial plan is convincing them to rebalance their asset allocations. Before you can persuade clients to rebalance, you have to show them the benefits. |
The Motley Fool March 11, 2009 Dan Caplinger |
3 Reasons Why Investors Will Panic Again Just as experienced long-term investors have kept the losses of the past year in perspective, so too should you not draw any major conclusions from a one-day rally. |
The Motley Fool September 22, 2008 Dan Caplinger |
The Best Reason to Sell Now Even if your stocks have gotten beaten down in the panic of 2008, there is one good reason why you might consider selling some of your holdings right now. |
The Motley Fool August 23, 2008 Rex Moore |
You Missed the Best Day to Buy Even though the tongue-in-cheek title of this article implies you've missed your best chance, you can see that you really haven't. If you've got money you won't need for five years or more, just get in the game as soon as you can. |
Financial Advisor September 2008 Andrew Dodds |
Uphill Climb The catastrophic losses suffered by Bear Stearns employees should serve as a wake-up call for all financial advisors. Investment portfolios intended for retirement must be adequately diversified. |
The Motley Fool August 22, 2008 Dan Caplinger |
Don't Cut Your Winners To see why taking profits on a winning stock isn't generally the right thing to do during a bear market, consider what it takes for a company to do well in a tough economy. |
The Motley Fool December 22, 2008 Dan Caplinger |
Where the Bull Will Run in 2009 With the stock market on track to lose nearly 40% of its value this year, everybody's hoping for a strong rebound in stocks during 2009. But some see even more promise in a different market entirely -- corporate bonds. |
The Motley Fool August 26, 2009 John Rosevear |
It's Not Too Late to Save Your Retirement No matter your age, there are still things you can do to improve your retirement. |
The Motley Fool February 9, 2011 Amanda B. Kish |
Investors Are Still Chasing Returns Wise up. Bonds probably aren't the best place for your money. |
Financial Planning January 1, 2005 |
Mutual Fund Monitor Should you invest in bond funds or individual bonds? |
Financial Planning October 1, 2009 Craig L. Israelsen |
An Age-Old Question Age plays an important role in determining asset allocation. The general consensus is, the older you get, the less risk you should take. |
Financial Planning May 1, 2008 Mark Willoughby |
Volatility Bites For those who had begun to underestimate the impact volatility can have on managing investment portfolios, the events of 2007 and early 2008 have been a sobering reminder. |
The Motley Fool February 5, 2010 Tim Hanson |
The Stocks You Need to Buy Now Do you know what you're missing? With an asset allocation plan and additional foreign exposure, your portfolio will be better positioned to profit over the next decade. |
The Motley Fool September 1, 2010 Dan Caplinger |
The True Risk of Bond ETFs Rising interest rates will hurt more than you might expect. |
The Motley Fool November 17, 2006 Dan Caplinger |
How Much Risk Is Enough? Here's an asset allocation strategy that pays attention to what you really need. |
The Motley Fool October 11, 2006 Dan Caplinger |
Fixed Income Isn't Risk-Free Bonds can be good for your portfolio, but they come with their own risks. |