bajfinance SIP stock strategy

Please note that the following strategy is based on historical observations and should not be considered as financial advice. It is essential to backtest any strategy thoroughly and consult with a qualified financial advisor before making investment decisions.

Based on historical analysis of Bajaj Finance's price movements, it appears that the stock tends to experience corrections of approximately 25%, 35%, and occasionally up to 65% from its recent highs. Subsequently, when the stock rebounds, it has demonstrated the potential to achieve gains exceeding 100%.

With this in mind, here is a potential strategy:

Buying Strategy:

Allocate your first installment when the stock price is down by approximately 25% from its recent high or when the stochastic indicator with a 4,3,3 setting shows a value below 20. Determine an appropriate amount for this initial investment.
Consider adding a second installment when the stock price is down by approximately 35% from its recent high or when the aforementioned indicator signals a buy opportunity similar to the first installment.
If the stock experiences a substantial decline of around 60% from its recent high, consider adding a third and final installment to your position.
Selling Strategy:

Implement a sell strategy when the super trend indicator on the weekly chart generates a sell signal. Alternatively, if the stock price achieves a gain of more than 100% from your initial purchase price, consider selling 50% of your position while keeping the remaining portion for potential future gains.
Please note that this strategy does not incorporate a specific stop-loss mechanism. It is advisable to assess your risk tolerance and consider implementing a stop-loss order to mitigate potential losses in the event of a significant price decline.

It is crucial to conduct thorough backtesting of this strategy using historical data to assess its performance and consider factors such as transaction costs, market conditions, and individual risk preferences. Consult with a financial advisor or professional for a comprehensive evaluation of your investment approach.

Declaration:
The strategy mentioned above is based on historical observations and is provided for informational purposes only. It should not be considered as a professional analysis or recommendation to buy or sell any specific securities. Implementing this strategy involves risks, and any investment decision should be made after careful consideration of your financial situation, risk tolerance, and consultation with professionals. I bear no responsibility for any financial losses or consequences resulting from the use of this strategy.


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