Abstract
Akshay, a traditionally conservative investor, embraced the Indian stock market's bullish trend following the 2024 elections, transitioning to a more aggressive strategy. However, global events and market corrections in September 2024 have caused volatility, prompting him to reconsider his investment approach. Now at a crossroads, Akshay must weigh his options—whether to liquidate, re-diversify, or implement risk management strategies to balance short-term uncertainties with long-term financial growth.
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More From: International Journal For Multidisciplinary Research
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