PDF Best practices for portfolio rebalancing
5000 Composite Index from January 1, 1975, through April 22, 2005; and the MSCI US Broad Market Index from April 23, 2005, through December 31, 2009. All returns are in nominal U.S. dollars. 4 Assuming a 60% stock/40% bond portfolio and annual rebalancing with a threshold of 5%. 4 Figure 1. ................
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