Which plays more important role when you are taking a position, a strong chart or a turnaround or movement in the business, what is your average holding period assuming these are not part of a long term PF, and what is your exit criteria, a sign of chart weakening or based on fundamentals or the combination of both?
And is this technofunda approach alone your participation in the market now, or this is supplementary for an long term PF, and if it is, does this seem more lucrative than having a long term PF, the XIRR is more than the CAGR, including the stop losses, if any?
I am leaning towards and learning about short term opportunities than long term ones despite having a longer outlook, so asking such and many questions. Hope you don’t mind.
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