summaryrefslogtreecommitdiff
path: root/Finance
diff options
context:
space:
mode:
authornic <ra@afu.re>2025-02-01 21:01:39 -0500
committernic <ra@afu.re>2025-02-01 21:01:39 -0500
commit2d26d6f4d84290ff7a4d9c5dc9e9626442539a76 (patch)
treea7513ea15c54310497ef66489c01600db08ba0e0 /Finance
parente46b597bfcabd74fe1487559e8afe38eeb831a8f (diff)
Auto from nzxt - Sat 01 Feb 2025 09:01:39 PM EST
Diffstat (limited to 'Finance')
-rw-r--r--Finance/index.md11
1 files changed, 10 insertions, 1 deletions
diff --git a/Finance/index.md b/Finance/index.md
index a2a4e5a..c4e7352 100644
--- a/Finance/index.md
+++ b/Finance/index.md
@@ -15,7 +15,7 @@ odds = succesful outcome : unsucessful outcomes
-if opinion on forex express it via stocks
+if opinion on forex express it via stocks
If started positon half of max position can cut stp loss by half
@@ -26,3 +26,12 @@ Start by analysing Volatility ATR of the stock to set initial hard stp loss and
Positive correlation between Nominal GDP growth rate & Nominal interest rates
+
+
+Every company in theory if not shriking should grow at least at GDP + Inflation
+Inflation - 2%
+GDP - 3%
+5%
+then assume the growth of the total TAM fo the business lets say 3%
+8% growth is now the baseline, where you get the multiples, multiples the company should trade at
+8% * 2 = 16 should be at 16x times multiples