Stock portfolio allocation strategy
25 Jul 2018 For instance, a portfolio consisting of just one stock is far too risky -- no passive investing is a wonderful strategy for investors who don't have 1 Mar 2020 Asset allocation refers to the investment strategy of balancing risk and reward by determining what percentage of your portfolio or net worth to The most common of these stock risk management strategies is to gradually shift your asset allocation away from stocks and toward bonds and other lower-risk