STOCK MADE A LIFE TIME HIGH & IS IN PULLBACK MODE. ITS A BUY AROUND 105-110. TARGET- 140 ( APPROX 33 % PROFIT ) STOP LOSS -98 ( APPROX 11% LOSS ) RISK:REWARD= 1:3
NIFTY -0.48% 0.32% PE RATIO IS ABOVE 23 , SO INVESTMENT VERY LESS AMOUNT IN EACH STOCK
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