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VTI - Reduce Portfolio Risk With Adjustments To The Dual Momentum Model
Vanguard Total Stock Market
One major disadvantage of the Dual Momentum model arises if one has the fortunate problem of managing a sizable portfolio. Since the DM model calls for investing in one asset class at a time, a manager might run into the problem of filling orders when trying to trade large numbers of shares. The bid-ask spread can be a problem with large orders. The cure for this large portfolio problem is quite simple. Break the large portfolio into smaller portfolios. This has other risk control benefits as readers will see in a moment.