
- UID
- 223283
- 帖子
- 283
- 主题
- 130
- 注册时间
- 2011-7-11
- 最后登录
- 2013-8-19
|
Okay let me put in few of my huge bunchload of questions.
I being a sell side analyst would look at a particular stock very differently compared to an Investor/Portfolio Manager/Buy Side Analyst.
Q1. What inputs would be most favorable (e.g. valuation matrix, macroeconomic reports) from a sell side analyst?
Q2. Would you guys prefer a top-down or bottom-up approach?
Q3. What kind of discounted valuation do you think is suitable for a commercial bank/financial institution? Or would you prefer a relative valuation technique much more?
these three for now. answer all three or just any one as you like. |
|