Hi Harsh,
From a hawk eye view of your International portfolio and simply looking into the monthly chart of few of them eg. AB InBev, Netflix, Berkshire, Disney etc. I noticed a major upside down ‘U’ shape in these stocks right from 2019/2020 till now 2022.
I can consider this to be a nice long-term holding but don’t understand the logic behind multi-year holding with bear scenario.
Keen to know your insights.
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