Asset allocation, i.e. which asset class, sector, industries an investor allocates money to explains more than 80% of portfolio returns. In other words, picking single name stocks is significantly less important than picking the right parts of the market to be allocated to and which ones to stay out of.

Sign up to stay informed about the upcoming trading and investing workshop in Chicago, September 24 – 26:

http://twocommatrader.com/serge/rsvp/?affid=awe

 

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