Episode 220:  The Follies And Foibles Of Managed Funds And Portfolio Reviews As Of November 25, 2022 episode artwork

EPISODE · Nov 27, 2022 · 33 MIN

Episode 220: The Follies And Foibles Of Managed Funds And Portfolio Reviews As Of November 25, 2022

from Risk Parity Radio · host Frank Vasquez

In this episode we answer emails from Nick, Mr. Harris and Howard.  We discuss the hoary details of the tax reporting of GLDM, following your rebalancing rules and why relying on the past performance of managed mutual funds probably is not a good idea.And THEN we our go through our weekly portfolio reviews of the seven sample portfolios you can find at Portfolios | Risk Parity Radio.  With rebalancing this week!Additional links:Father McKenna Center Giving Page:  Donate - Father McKenna CenterOptimal Rebalancing Article:  Optimal Rebalancing – Time Horizons Vs Tolerance Bands (kitces.com)SPIVA Report for 2021:  SPIVA U.S. Year-End 2021 Scorecard (spglobal.com)Morningstar Analyzer -- PRWCX:  PRWCX – Portfolio – T. Rowe Price Capital Appreciation | MorningstarPortfolio Visualizer Comparison Analyses of PRWCX:  Backtest Portfolio Asset Allocation (portfoliovisualizer.com)Support the show

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In this episode we answer emails from Nick, Mr. Harris and Howard. We discuss the hoary details of the tax reporting of GLDM, following your rebalancing rules and why relying on the past performance of managed mutual funds probably is not a good idea. And THEN we our go through our weekly portfolio reviews of the seven sample portfolios you can find at Portfolios | Risk Parity Radio. With rebalancing this week! Additional links: Father McKenna Center Giving Page: Donate -...

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Episode 220: The Follies And Foibles Of Managed Funds And Portfolio Reviews As Of November 25, 2022

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