Buying low and selling high!

It is time to rebalance my SIPP. I do this once every six months, if appropriate. I have five investment categories: developed countries equities, emerging countries equities, property, bonds, and commodities (inc precious metals). Which section has done best over the past six months? Property. Which have done the worst? Emerging markets and commodities. So, the plan is that this week I will sell some of my property investments, and buy some more emerging markets and commodities investments.

The advantages of doing this? It forces me to sell high and buy low, the opposite of my instinct! It is a simple system, a no-brainer!

Site members will know exactly what products I am buying and selling.

Have a great week!

 

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