Year-End Portfolio Rebalancing for Canadians
As 2025 ends, Canadian investors should rebalance their portfolios to align with long-term goals, managing risks from sector concentration, particularly in financials. Focus on growth sectors like technology and renewable energy while considering fixed income stability and tax efficiency. Thoughtful rebalancing enhances resilience against market volatility in 2026.
Year-End Portfolio Rebalancing for Canadians Read Post »









