Week #2 was looking good for Mi25. It closed at the highest point of the week at +5.75% vs Nifty at -0.25% and CNX500 @ +0.6%
Internals give you a picture of how to just pick and wait and the pf will take care of everything else. Small edge advantage but huge pf allocation effect. The best part however remains the EXIT plan.
Wins | Avg | Losses | Avg | |
Invested | 18 | 9.82% | 7 | -1.94% |
We will reconstitute Mi25 in the last week of April again as we start the service as per the plan
Have a good long wekeend!
Interested in MI 25 stock letter. Please add my email I’d as follows
Sureshsharma27@gmail.com
https://weekendinvesting.wordpress.com/payments/