About
Sangitarani
Research Analyst
“EXPERIENCE: The real power”
I have 10 years’ experience of stock market. I efficiently analyse correct stock valuation for good return, according to all aspects of stock market factors. I guide and manage invested capital to minimise risk, if any at the time of expectation of severe correction either in an individual stock or sector or market.
Nobody can rule out unusual volatility in market. I have seen both market crash and V-shaped recovery along with sideways movement/consolidation of market. Different sectors of stock market have different behavior during sever correction which can put invested capital on risk but if invested capital is in good valuation of good quality stock and we have ability to judge and manage volatility then capital risk can be minimized.
It is noteworthy truth that if any individual has developed skill to minimize risk, then they can always be in happy condition. I have exposure and developed skill to manage and do best suggestion for minimize capital risk for good return.
Statement
Investment and Trading is not easy. In my opinion, knowing proper technical and fundamental analysis constitutes only about 20-30% of success. The rest 70-80% depend upon crucial aspects such as psychology, risk management, money management, development of strict personal algorithm, personal investment & trading statistics, correct understanding of money value, correct mindset, expectations and understanding of investment & trading according to market volatility. But don’t worry, all you need is a simple buy and sell under my guidance. I will suggest and guide you through each of above crucial steps for making good returns.
Why Choose Us
Best Suggestions & Guidance !
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SEBI Registered Research Analyst
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Risk management on invested capital
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Best suggestions for good return at the time of correct valuation of stock
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Guidance of entry & exit