Which price indicators u use sir and for volume analysis any particular indication like obv ...
only volume ... not obv
Thankx for sharing Ur thaught, can u plz share Ur short term to medium term portfolio holdings..
i alredy disscussed in my thread , please read my old posts sir
I like fundamentaly strong secular growth stories and love to ride on those stocks for a long period.
i like Trading for short to medium term ... very long term investment i dont like , very very selective stocks i will hold
Volume Analysis and Price Action is my main Instruments in Technical Analysis
recently investment are Relaxo , LINC pen ,Asian paint,Berger paints , hmvl,Tata motors,Navneet education,Havells India,persistent system,compucom software,Avanti feeds, fibolex cables,solar industries,Mirza international. Any comments
portfolio is good mainly focussed on mid caps , but profitability depend up on stocks selection , quantity buying , run profits , profit bookings , reentries , Holding period , timeing in market , and Money Management ....
But in long term if companies fundamental is good over d year and price fluctuate so Ur stop loss will hit that's why I asking why stop loss in five to ten yr horizon yes definitely for short term money management must
In my view short or long term any time frame money management is must , because risk reduction and at the same time increase returns purpose , stop loss is purely depend upon Risk apatite , daily needs , commitments and Capital size only
Which is ur confined indicators sir can u eleborate
Volume Analysis and Price Action is my main Instruments
for that money management and stop loss requered
But all my research essence is all trading or investment method havng Risk and weak points, some may be less and some are high
we can not do research in all indicators , due to time factor and age factor also , so i confied to some indicators only
Which technical indicators u prefer cause a lot of inductor available
i have done lot of research work on some indicators and price action
because your market risk reduced with Systamatic Investment Plan ,all together it is depend up on your stock selection and profit booking
For SIP Method for long term i think need not maintain stop loss ,
Sip I. Long term is good or not ... Without any stop loss
Profit ability and striking rate in investment or Trading Time period and Risk Apatite will decide " STOP LOSS "
i depend on fundamentals 25 % and remaining 50 % on Technicals and 25 % on money management , i am 25 % Investor and 75 % Trader
Debt position , Government policy on that sector will cover all ROE & ROCE etc... i like 5-30 PE RATIO Stocks only
Management Ability , Sector Growth ,Compitetion in the sector
or some other strategy should apply cause u r senior and experience dats I asking . Should I follow stop loss like if as scripts down 10 percent from d buying price then exit or for long term should I avoid stop loss thanx I hope u reply
My fundamental Criteria is simple
1. Promot stake above 40 % for large cap nifty stocks some relaxation
2.Debt Equity ratio below 0.75 , for large and nifty stocks below 1
3.Main important factor is Management ability
4 last 5 years profit making company
5.Dividend paying company
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