Send us a text In this episode, we share a clear framework for navigating bear markets and market crashes—based on history, valuations, macro trends, and technical signals. 📌 Key takeaways: 5-part crash analysis: history, valuation, technicals, earnings, economy Price vs. time correction explained with Nifty data Which indices are still expensive vs. which are derated How to identify fraud-heavy sectors using PE rerating What kind of investors should do what: fully invested, asset allocators, or cash holders Signs of a bottom and sectors showing early strength Real economy signals from PMI, inflation, capex, and Q4 earnings