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现在入场,血泪教训!90%投资者没做对的1个公式
天天基金网· 2025-08-20 11:27
Core Viewpoint - The article emphasizes the importance of managing investment risks and optimizing potential returns in the current market environment, suggesting strategies for both risk reduction and return enhancement [1][10]. Risk Reduction Strategies - Utilize short-term funds for investment in funds to avoid the "recency effect" and prevent hasty decisions driven by market trends [2]. - Prioritize investing with funds that are not needed for at least one year, and avoid going all-in [3]. - Implement the "lifecycle method" to determine the appropriate allocation to equity assets based on age, suggesting a formula of (80 - age) / 80 * 100% for equity allocation [6][7]. - Diversify investments across low-correlation funds to smooth out volatility, focusing on both the number of funds and the sectors/styles of investment [8][9]. Return Enhancement Strategies - Choose better trading times, emphasizing the principle of "buy low, sell high" and the importance of patience in holding investments [11][13][15]. - Extend the investment horizon to capture higher returns, as many successful investments require time to realize gains [14][16]. - Select superior investment targets, recommending passive indices during certain market phases and suggesting a diversified approach to index investments [17][18]. Conclusion - The article concludes that successful investing is fundamentally about "buying low and selling high," yet many investors struggle with emotional biases that lead to poor decision-making [19][20][21].