Should I now increase my international equity exposure?

Two readers have the following questions. “Given the relative performance between Indian and US markets, my asset allocation is running low on international equity exposure. (1) Should I now increase my international equity exposure?” “(2) Is there any ideal rebalance frequency (identified via backtesting)? I’ve usually encountered rules such as – rebalancing once a year/…

Continue reading →

Equity Mutual Fund Screener Nov 2022: Shortlist consistent performers

The freefincal Equity Mutual Fund Performance Screener (November 2022) is now available. Use it to screen for consistently performing equity mutual funds. You can screen based on fund category & benchmark and spot mutual funds with a higher return than a benchmark at a lower risk. Inside, you get discounted links to our two courses:…

Continue reading →

Will the Indian stock market again witness 10 years of poor returns?

Two readers recently asked us similar questions. One asked, “Is it possible for the Indian stock market to again go through 10 years of poor returns?” The reference is to the ten years of a sideways market after the Harshad Mehta scandal broke. For details, see: (a) Sensex at 50,000 & lessons from the 42-year journey (b) Sensex…

Continue reading →