Midcap Stocks

September 17, 2024

Struggling to Spot Emerging Sectors? Here is the Solution…

Identifying and riding the right sector trend in trading is decisive for achieving superior returns. As market conditions fluctuate and sectors rise and fall in prominence, having the right tools and techniques to pinpoint emerging trends can give traders a significant edge. Are you looking for […]
September 9, 2024

Method for Financial Statement Analysis in the Stock Market

Financial statement analysis is a crucial skill for any investor in the stock market, especially in a dynamic and growing economy like India. The Indian stock market, represented by exchanges such as the National Stock Exchange (NSE) and the Bombay Stock Exchange (BSE), reflects the […]
September 4, 2024

The Role of Fundamental Analysis in Stock Market Investment

Investing in the stock market can be a powerful way to grow wealth, but it requires a strategic approach and a deep understanding of market dynamics. One of the cornerstones of successful investing is fundamental analysis. This analytical approach evaluates a company’s intrinsic value by […]
September 3, 2024

The New Age Technical Analysis Report

Back in 2006, when I began my journey into technical analysis, the process of writing a stock report took a lot of time. As any experience technical analyst will attest, crafting a detailed and accurate analysis requires analysing multiple charts, evaluating various timeframes, and applying […]
August 26, 2024

How Many Stocks Should You Have in Your Portfolio?

Investing in the stock market can be a rewarding endeavour, but it comes with its own set of challenges and decisions. One of every investor’s most critical questions is: “How many stocks should I have in my portfolio?“ This question doesn’t have a one-size-fits-all answer, […]
August 22, 2024

An Indicator to Manage Drawdown Risk in Stock Trading

An Indicator to Manage Drawdown Risk in Stock Trading The Ulcer Index (UI) is a technical indicator developed by Peter Martin in the 1980s to measure market risk, explicitly focusing on the downside risk of an asset. Unlike traditional volatility measures like standard deviation, which […]
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