Sometimes its just market expectations that the results shall be good and hence there is a good boost up before the results. Then when the results are not in line with the expectations, the stocks takes a dip.
I understand the fundamental and technical aspects but the point is if we have entered at the boosted up price… and it goes down…no problem so as to exit at a profit…but the issue is how long should one wait? Like Laurus Labs, I bought at 600 in early or mid 2022 and then it fell rapidly and now it is at 400 levels.
So how to derive that the stock is overvalued or undervalued even from investor perspective with holding period of 2-3 years.
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