In the News

Title

Why Rebalancing to Play off Volatility Can Boost Returns in Retirement Portfolio

Document Type

Article

Publication Date

8-13-2015

Abstract

Investors should rebalance their portfolios based on the volatility of the market to increase the gains in their retirement portfolio.

Following a timetable of rebalancing quarterly or even twice a year results in having investors missing gains and take on the losses of a particular sector, said Matthew Tuttle, the portfolio manager of Tuttle Tactical Management U.S. Core ETF.