I think it was on the day trading futures thread that ST remarked one should ideally have no more than 12% holding in a single stock and also at the same time, limit sectoral exposure too.
It would be very interesting to understand what your take on this is? I am personally of the opinion that I pick up one from each of the following sectors:
It would be very interesting to understand what your take on this is? I am personally of the opinion that I pick up one from each of the following sectors:
- Banking (Kotak or HDFC Bank)
- NBFC (Baj Finance)
- Consumer Goods (either Bata or Dabur or Godrej CP)
- Automotive (Maruti)