14-05-2014, 04:45 PM
(14-05-2014, 04:40 PM)Ferns Wrote: Regarding risk management, do value investors consider risk management in terms of position sizing and stop-loss like what traders do?
Or the only risk management is lies in the MOS?
For example, if I find that a particular stock has reached my adequate MOS, and I take up a position. Thereafter, it continues to drop by 5-10%, should I sell it?
I guess there's no right or wrong, but I'd like to understand the decision making process in this situation from a value investor's perspective.
If I'm caught in such a situation, I guess the first thing to do is to review how i determine my MOS?
You seems has all the answers, right?
“夏则资皮,冬则资纱,旱则资船,水则资车” - 范蠡