Arguments 1. Price is currently at a small discount due to market stress. 2. Positive earnings prices spiral. 3. Diverse fundamental growth factors.
Risks 1. Impact full reaction on market stress wich could increase the current time. getting out during these periods is very important. 2. Past year reports do have a exceptional previous year, while the earnings keep rising its still. 3. Businesses hiked on the high interest rates with will probably be lower in the coming time.
Potential high risk / reward situation compared to growth expectations in combination with the current bottom. My personal
Trade closed manually
I dont expect the trade to go up in the coming time because of the lowering of interested rates. This is the main reason why I closed the trade.
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