Some of us are still so worried about further market drops that can decimate us. Some people are thinking a bull is ahead. Some are thinking stabilization can happen around +-5000 to 5500/
Okay , let me ask something unusual then.
Even after these corrections, which shares will you not touch as an investment and why ( reason) even if they drop further 30-50% ? I am not talking about trading or short term profits. I am talking about investment given the current situation of the company.
Reasons could be
a) I see no future growth for several years
b) highly over valued
c) no clear goal or plan for the company
d) bad management
e) company might delist
f) company will go bankrupt
h) no dividends , no growth , no ... no ...
i) a+b
j) a+b+c
k) b+ e
l) all o the above
you get the idea.
Let me start off with examples
BINN :
No growth, overvalued, no plan, might bankrupt at some point
Again I remind you this is not for argument saying that these are illiquid and will give short term profit if bought at right price. I am talking about buying as Investment given the current situation of the company.