While management quality is more or less easy to rank, how would you address sector performance.
It’s quite difficult to predict more than once which sector would outperform.
We are in the midst of an extremely bullish market with some pullbacks here and there like the one we are currently witnessing. Eventually the bull markets will end. Do you have any models that give you a hint when markets might become too expensive.
Have you done any backtests or forward tests and have they covered these scenarios?
On a side note, I am not sure if you have sebi registration. If not, managing other peoples money might get you into hot waters.
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