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再说再平衡 #80

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adsfgs opened this issue Sep 14, 2019 · 0 comments
Open

再说再平衡 #80

adsfgs opened this issue Sep 14, 2019 · 0 comments
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@adsfgs
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adsfgs commented Sep 14, 2019

再平衡:
主要用于相关性低的大类资产配置,如A股,欧美,港股,债券。

  • 最好的再平衡是不轻易平衡
  • 再平衡之前自由生长,不干预
  • 让子弹先飞一会儿
  • 欲擒故纵,条件成熟锄强扶弱

条件:
时空必居其一
时间:季度,半年,一年
空间:单品种盈利30%,偏离度大于10%

目标市值组合:
自己的目标市值组合,由于是500+红利,相关性较高,不满足大类再平衡的定义。

临时和季度操作:
重新考虑了各种场景,如同涨同跌、不同涨同跌,等分投入不甚合理,决定各品种独立做目标市值。其实每季度已经自动在做平衡了。

@adsfgs adsfgs added the finance label Sep 14, 2019
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