@Ysr, @ripzc09, @sarthakkumar19_ ,
Please let us know which other shares you bought recently
Posts in category Value Pickr
Tejas Networks – Product based IT business in a favored sector? (18-10-2024)
Current order backlog is only 4845 cr , which Tejas will exhaust in less than 2 quarters at similar level of execution. Key factor to monitor is order wins. Management mentioned that the outcome of the Sanchar Net tender will be announced in the coming few weeks, and there are some delays with the Kavach.
Titan Company Ltd : a three decade old company (18-10-2024)
CSR activity by Titan eye plus…
BLS International (18-10-2024)
Temasek to pick up 18% stake in VFS Global for $950 mn: Report
Source: Moneycontrol https://search.app/?link=https://www.moneycontrol.com/news/business/temasek-to-pick-up-18-stake-in-vfs-global-for-950-mn-report-12844052.html&utm_source=dsdfns,sh/x/discover/m1/5
IDFC First Bank Limited (18-10-2024)
IDFC didn’t have any business and this merger shouldn’t be compared with hdfc ltd and bank
Your equity portfolio, you can control risk and returns (18-10-2024)
Do you know how to vary returns and risk from your existing portfolio of equities. Still one can keep portfolio always at Optimum return levels (For the given return risk will be least).
Rather than worrying your portfolio is bad and changing it frequently, learn how to earn better from your existing portfolio itself-you can fine tune it to optimum performance.
What is optimum performance? For a given return your portfolio has minimum risk. Any other weights will increase risk.
After user decides about portfolio based on fundamentals and future opportunity, this is the next step. Along with that if you are using momentum indicator, there is nothing comes to its actual performance. If the market is highly volatile and Momentum indicator shows a flip over (over brought) position. Then one can move portfolio to point of minimum risk-without the need for withdrawing and reinvesting in some other instrument or equities. Rather rebalance the weight and keep portfolio at optimum levels with low standard deviation. Again, in the next cycle if market starts picking up, one can increase the roi and keep portfolio at minimum risk for the given level of risk to take advantage of upward momentum.
Not knowing the direction, then take this approach, one can measure combined momentum for the portfolio and find out momentum. Even then if direction is uncertain one can adjust portfolio to moderate return level.
Return and risk is how you balance your portfolio with optimization. If interested how you can do that-Please put in the comments! I will show how I do it.
These are proven techniques used by Global fund managers! you too can do it!
Zomato – Should you order? (18-10-2024)
Why do you think FK/ AZ will not get serious about it? They both have straight away risk of losing market share in convenience seeker category which happens to mostly be sitting in Metro / tier 1, which by and large were used to couple of days SLA.
Forget unit economics currently, not having a qcom strategy in place is serious threat to ecom company GMV.
Indraprastha Gas Limited (Special situation/Long term) (18-10-2024)
The problem with the government companies is these kind of Regulations and Control. The margins will definitely hit to some extent but they will be able to reduce some impact by increasing the prices.
IDFC First Bank Limited (18-10-2024)
Hi guys
I was reading about what happened to hdfc bank post merger with hdfc ltd.
It struck me that till now I never really bothered what is the business of IDFC limited.
Is it just a holding company? or there are business where need to check any skeleton can pe present which got merged into idfc first balance sheet?
thanks