HEXAWARE - Long - Monthly - 27.2.2016

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HEXAWARE             27.2.2016


Date of Trade : 27 Feb 2017

Entry Date:
Buy Stop

Trade Entry :
Market: BSE            
Stock: HEXAWARE             ( HEXAWARE Technologies Limited             )
Long/Short: Long
Current Price: 222.90
Entry Price: 231.65
Time Frame: Monthly

Type of Trade:
Long Term Trade

Reason For Trade:
Price was in range on 50 SMA and then bounced from 50 SMA
RSI at 50 about to cross 20 SMA - RSI should cross 20 SMA above 50 for a valid trade
MACAD on Zero line - both the lines are little far however in process of convergence
MACAD histogram moving from down to top near zero

Market Cap.: ₹ 6,676.33 Cr             . Current Price: ₹ 221.05 Book Value: ₹ 61.26 Stock P/E: 16.01 Dividend Yield: 3.91% Face Value: ₹ 2.00 52 Week High/Low: ₹ 273.60 / ₹ 177.95 QoQ Profits: 9.01% Quick ratio: 1.53 EVEBITDA: 10.3

News:25 Feb 2017 08:30 - Kotak Mahindra Capital Company Limited ("Manager to the Offer") has submitted to BSE             a Copy of Post Buyback announcement for the attention of Equity Shareholders of Hexaware             Technologies Ltd ("Target Company")



Pluses: Positive aspects of th             trade.
- Company is virtually debt free.
- Stock is providing a good dividend yield of 3.91%.
- Company has a good return on equity (ROE) track record: 3 Years ROE 28.78%
- Company has been maintaining a healthy dividend payout of 80.37%
CMP/BV: 3.64
Quarterly results are good. Dec 2016 results are better than previous two quaters and better than Dec 2015
Annual Result TTM             is very Good
Dividend paid in Dec 2015 was 66.33
Good Risk vs Reward Ratio

Compounded Sales Growth:
10 Years:15.58% 5 Years:24.26% 3 Years:17.04% TTM:13.17%

Compounded Profit Growth:
10 Years:14.04% 5 Years:39.47% 3 Years:6.25% TTM:6.08%

Return on Equity:
10 Years:23.53% 5 Years:28.62% 3 Years:28.78% TTM:28.86%

Net Cash Flow in Dec 2015 was much higher at 93.14 much higher than previous quarters

Wonderful stock to have

Minuses: Potential problems with the trade
The only threat is quarterly and annual financial results.

Brief Summary of emotions:
Confident going in. Provided set parameters are met.

Stock added or sold during the current trade:
Sell signal when the RSI hits the trendline . If it deviates then sell and then buy again as per the situation at that time.
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