Portfolio Rebalancing: Systematic Risk Control and Volatility Harvesting
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David Reynolds
•Published: October 8, 2026•8 min read
Without periodic rebalancing, an equity bull market will slowly increase portfolio risk beyond your original risk tolerance.
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David Reynolds
Financial Contributor & Analyst
Financial writer and researcher specializing in banking products, consumer credit, and long-term investing strategy. Verified by the FinBank Editorial Board.