One of the simplest investment strategies is the 60–40 stock bond allocation.
Every month, rebalance the portfolio such that 60% of the portfolio’s weight is in stocks and 40% is in bonds.
Surprisingly, despite holding such a large proportion of bonds, this 60–40 strategy outperforms a buy and hold strategy on a 100% stock portfolio.
Check out the backtest results in the link below and let me know your portfolio’s asset allocation.
https://pyinvesting.com/strategy/60-40-stock-bond-mix