With the market rout and subsequent mini-rebound, Cory is tempted to sell his bonds for stocks. This is an action of re-balancing one portfolio to take advantage of subsequent rise. Does this makes sense ? Fact is Bond interests are in few percentage points only. If we do trading on them, we are going to waste away the marginal returns. When we put into equity, how confident are we to beat the
Cory Diary : Re-Balance Bonds ?