All these studies and conclusions are not taking into account the universe we are dealing with. They might have assumed S& P 500 index .
But what about our different universes?
Like Nifty 50, Nifty Next 50, Midcap 150, Smallcap 250, Microcap 250…For all these different uinverses, same Monthly rebalancing cannot be optimum. Kindly advise this. Also I have started with LargeMidcap 250, where largecap 100 stocks and midcap 15p stocks are included. For me what will be optimum rebalancing strategy?
And during the period , if any stock is going below 10% of my purchase price, should i intervene and sell or , should i wait for rebalancing day?
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