Mikhail Samonov February 18, 2022 DB_Strategy, Dynamic Asset Allocation, HomePage Dynamic Asset Allocation: A Strategy Investors Can Actually "Buy and Hold" Mikhail Samonov February 18, 2022 DB_Strategy, Dynamic Asset Allocation, HomePage Lots of investment advice is fine in theory but ineffective in practice.
Mikhail Samonov November 16, 2020 DB_Strategy, Dynamic Asset Allocation Two Types of Dynamic Asset Allocation Mikhail Samonov November 16, 2020 DB_Strategy, Dynamic Asset Allocation There are two types of dynamic asset allocation: convergent and divergent.
Mikhail Samonov February 4, 2019 DB_Strategy, Dynamic Asset Allocation Two Risks That Ruin Long-Run Investing Mikhail Samonov February 4, 2019 DB_Strategy, Dynamic Asset Allocation The first risk of investing is the Drawdown Risk - the loss from the peak. The second risk of investing is the Low Return Risk - the under-performance vs. expectations over a stretched period of time.