Vivek Mashrani – India's Leading TechnoFunda Investing Specialist

Do you want to know the powerful strategies for portfolio allocation to generate excellent returns? If you want to exactly understand the formula, this podcast is for you.

Listen to other episodes >> LISTEN HERE

Let’s Dive IN…here is what you will learn in this PODCAST episode.

1. Number of Stocks in a Portfolio

  • How many stocks should be in a portfolio?
  • Ideal number of stocks in portfolio

2. Concentrated vs. Diversified Portfolio

  • The case for a concentrated portfolio
  • Types of portfolio diversification
  • Equity portfolio diversification

3. Thoughts on “Kachra Stocks”

  • What is Loss Aversion?
  • Loss aversion in investing with examples

4. 80/20 Rule in Investing

  • The Pareto Principal 
  • Asset Allocation Strategies
  • Successful stock market investors in India
  • Rakesh Jhunjhunwala Titan Story

5. Rule of 72

  • 25% CAGR Compounding Formula
  • How to double money in 3 years?
  • How to make 100 crores by investing 10 lakh? – Access Podcast

6. Averaging Up

  • Foot in the door technique
  • It’s easy to make a mistake and do the opposite, pulling out the flowers and watering the weeds – Peter Lynch

7. Thoughts on Sector Analysis and Market Leaders

8. Risk Management

  • Position sizing formula
  • Exit strategies
  • Stock Ranking system

9. TechnoFunda Investing Formula

10. Reference Materials


YouTube Channel >> ACCESS HERE

My Website >> 
https://vivekmashrani.com/

Listen to other episodes >> 
LISTEN HERE

Want to start your journey towards financial freedom?

I am on a mission to help 100,000 retail investors to achieve financial freedom using TechnoFunda Investing process

Disclaimer: All the discussions and examples are for knowledge sharing purpose. Please consult your financial advisor for any queries or before taking any financial decision.

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