Just wanted some evaluation on an idea I have been toying with - I have implemented the idea on a very small scale without rules and so far its done very well (LSE,Lastminute - todays jump)
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M&A Trading Basket.
Ok the idea is pretty simple. I select portfolio of stocks that have a “high” change of receiving a takeover offer this year. I would suggest sticking to FTSE 100 & 250 stocks.
We pick a few key sectors e.g. Travel, Technology, Utilities and then select a few from each of these sectors pick say 2 stocks (TBC) to enter in as long positions.
This is pure fundamental analysis play where the underlying company details would require analysis in conjunction with sector trends (although I would use TA to back-up entry)
Stops / Exit strategy need to be considered i.e sell on initial jump or cover with a tight stop, personally I feel this will need to considered on the case by case basis.
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Workable investment strategy? Good expected return i.e my aim is to beat the index ? Strategy for setting Stops Limits? Anyone care to share the analysis workload i.e own a few sectors?
Ciao.
*****
M&A Trading Basket.
Ok the idea is pretty simple. I select portfolio of stocks that have a “high” change of receiving a takeover offer this year. I would suggest sticking to FTSE 100 & 250 stocks.
We pick a few key sectors e.g. Travel, Technology, Utilities and then select a few from each of these sectors pick say 2 stocks (TBC) to enter in as long positions.
This is pure fundamental analysis play where the underlying company details would require analysis in conjunction with sector trends (although I would use TA to back-up entry)
Stops / Exit strategy need to be considered i.e sell on initial jump or cover with a tight stop, personally I feel this will need to considered on the case by case basis.
*****
Workable investment strategy? Good expected return i.e my aim is to beat the index ? Strategy for setting Stops Limits? Anyone care to share the analysis workload i.e own a few sectors?
Ciao.