Hi guys,
I would really appreciate your advice before I continue doing this.
I have three main investments that I like and keep my money in: VOO, IDEV, and AVUV.
Question: When one reaches an all-time high and the others are down, I have started moving about 50% from the all-time high to the others. Then this process continues when another reaches an all-time high and the others are down, etc.
I am not taking money out of my investing portfolio throughout the rearranging process. I also have current parameters of 0-25% in AVUV, 0-50% in IDEV, and 50-100% in VOO at all times based on how I like things balanced despite the rotations.
Could you please explain to me why this is a bad idea so that I can stop this if there is something I am missing in this idea (which most of my ideas have)? Thank you!