I’m invested in several Vanguard sector ETFs so I’m able to pick and choose the ratio of each sector in my portfolio so it seems like I should take advantage of it buy selling my winners to buy my losers like tech today.
I know in a very long time horizon the price +- a few percent hardly makes a difference but I still like to optimize a little where I can if it doesn’t bring a lot more risk. I’m also diversified elsewhere like VTI and VXUS so it’s not as though I’m all in on a few US sectors.
Submitted November 29, 2017 at 12:19PM by ButRickSaid http://ift.tt/2i1iFuA