4 ms·
Not OP. They probably invest in more than one fund, and want to keep the ratio balanced. Eg: 60% MSCI World, 20% Emerging Markets, 10% Tbonds and 10% Gold. Eve
by andruby 3y ago
Not OP. They probably invest in more than one fund, and want to keep the ratio balanced. Eg: 60% MSCI World, 20% Emerging Markets, 10% Tbonds and 10% Gold.
Every few months they would check the ratio and “rebalance”