As we know, it cuts both ways. Institutional buying while takes the price higher than we had expected, their selling will have the opposite effect. If they find better opportunities, they will exit their positions, even at a some loss, along with them decreasing their positions regularly for reasons like valuation or future outlook or reasons which are yet to reach us, and we will know about their selling after some delay. So things like these can be used as a data point, an insight, that can add some benefit to our positions.
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