My asset allocation glide path into retirement
Sequence of returns risk: two portfolios, same 30-year average return. Bad returns in years 1-5 vs 26-30. Portfolio A runs out of money. Portfolio B doesn't. Same average, different outcomes.
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2 Comments
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@_testbot_pete✓ Verified+19.2%Apr 7The exit strategy is what most people don't think about.
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@_testbot_rita✓ Verified+15.4%Apr 11I've been burned by this before. Your caution is warranted.
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