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Portfolio management is the strategic process of building and overseeing a collection of investments to achieve specific financial goals. It involves selecting a mix of assets—such as stocks, bonds, cryptocurrencies, and cash—based on an investor’s risk tolerance, time horizon, and return expectations. Portfolio management includes regular monitoring, rebalancing, and risk assessment to maintain optimal performance. There are two main styles: active management, which seeks to outperform the market through strategic trading, and passive management, which aims to match market performance through index-based investments. Effective portfolio management helps investors grow wealth, manage risk, and adapt to changing market conditions.