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7 Smart Strategies for Portfolio Rebalancing During Withdrawal Phases

7 Smart Strategies for Portfolio Rebalancing During Withdrawal Phases

Published:
2025-05-23 09:58:02
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Portfolio rebalancing remains a cornerstone of sound investment management, particularly for retirees navigating withdrawal phases. The practice involves methodically realigning asset allocations to maintain desired risk exposure—selling overperforming assets and buying underperforming ones to preserve strategic balance.

Retirement portfolios demand particular attention to rebalancing. Market fluctuations can silently distort asset allocations, potentially exposing retirees to unintended risk levels. By systematically trimming winners and adding to laggards, investors maintain alignment with their long-term objectives while mitigating sequence-of-returns risk during distributions.

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