notices - See details
Notices
CK
Constantine Kostarakis (not verified)
12th March 2020 | 11:07pm

It seems like it pays to keep your winners regardless of their weight in the portfolio, and sell your losers. Quite often many PMs reduce their weights in their best perfoming stocks, and redeploy the cash to their smaller holdings. Part of the reason is that there are constraints in how much one can hold in any particular stock and/or sector. How do you get around that?