How many of you have been in a situation whereby all major benchmark indices (both local & global), be it NASDAQ, S&P 500, NIFTY, DJI, etc. are going all guns but still your portfolio looks red?
Well, in all probability, each one has been there at some point in stock trading/investing. Let’s try to understand why exactly we find ourselves in such a catch 22 situation before eventually glancing over the possible solution for the same.