๐ Laurruslabs - Potential Breakout Opportunity
๐ Early Entry: โน627.5
๐ฅ ATH Level: โน725
๐ Positioning & Strategy:
๐ฐ Entry Point: โน627.5
โ ๏ธ Stop Loss (SL): โน498 (20.9% downside risk)
๐ฏ Target 1: โน725 (15% upside potential)
๐ Positional Target 1: โน829 (~32% upside from entry)
๐ Long-term Target: โน999 (~59% upside from entry)
๐ Key Levels & Action Plan:
Laurruslabs has been in an upward trajectory since April 2023 ๐.
It consistently takes support near the 200 DMA, signaling strength in its trend ๐.
27 Jan 2025 saw a red candle with huge volume ๐, but the stock quickly bounced back ๐.
The ATH level at โน725 is key ๐. A breakout above โน725 would confirm a 3.5-year resistance breakout and All-Time High.
๐ก Action Strategy:
For Safe Traders:
๐ Book partial profits at โน725 and trail SL to lock in gains ๐.
For Risk-Tolerant Traders:
๐ Watch for a breakout above โน725. If confirmed with 3-5X volume ๐ and a clean breakout candle, consider adding more ๐.
๐ข Risk-to-Reward (RR) Calculations:
From Early Entry to Target 1 (โน725):
Upside: โน725 - โน627.5 = โน97.5 (15% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:0.72 (Risk is higher than reward here, so position sizing is key ๐งโ๐ผ)
From Early Entry to Positional Target (โน829):
Upside: โน829 - โน627.5 = โน201.5 (32% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:1.56 (Better reward for the risk taken โ )
From Early Entry to Long-Term Target (โน999):
Upside: โน999 - โน627.5 = โน371.5 (59% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:2.87 (Excellent reward for the risk taken ๐ฏ)
โ ๏ธ Risks Involved:
๐ Market Conditions: The overall market is in a LH LL structure, so we are trading against the trend ๐, which adds extra risk ๐ฅ.
๐ฅ 27 Jan 2025 Candle: The red candle with high volume is concerning, but no follow-through happened ๐. The stock bounced back quickly, which we can consider as a shake-out ๐ช๏ธ.
๐ Position Sizing: Due to the deep stop-loss (20.9%), position sizing is crucial to manage risk effectively โ๏ธ.
"The stock market is a device for transferring money from the impatient to the patient." โ Warren Buffett
๐ฌ Disclaimer:
This analysis is educational and not financial advice. Always do your own research ๐ and consult a professional advisor ๐ผ before making any trading decisions. Stock market investments are risky, and past performance doesn't guarantee future returns ๐ก.
๐ Early Entry: โน627.5
๐ฅ ATH Level: โน725
๐ Positioning & Strategy:
๐ฐ Entry Point: โน627.5
โ ๏ธ Stop Loss (SL): โน498 (20.9% downside risk)
๐ฏ Target 1: โน725 (15% upside potential)
๐ Positional Target 1: โน829 (~32% upside from entry)
๐ Long-term Target: โน999 (~59% upside from entry)
๐ Key Levels & Action Plan:
Laurruslabs has been in an upward trajectory since April 2023 ๐.
It consistently takes support near the 200 DMA, signaling strength in its trend ๐.
27 Jan 2025 saw a red candle with huge volume ๐, but the stock quickly bounced back ๐.
The ATH level at โน725 is key ๐. A breakout above โน725 would confirm a 3.5-year resistance breakout and All-Time High.
๐ก Action Strategy:
For Safe Traders:
๐ Book partial profits at โน725 and trail SL to lock in gains ๐.
For Risk-Tolerant Traders:
๐ Watch for a breakout above โน725. If confirmed with 3-5X volume ๐ and a clean breakout candle, consider adding more ๐.
๐ข Risk-to-Reward (RR) Calculations:
From Early Entry to Target 1 (โน725):
Upside: โน725 - โน627.5 = โน97.5 (15% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:0.72 (Risk is higher than reward here, so position sizing is key ๐งโ๐ผ)
From Early Entry to Positional Target (โน829):
Upside: โน829 - โน627.5 = โน201.5 (32% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:1.56 (Better reward for the risk taken โ )
From Early Entry to Long-Term Target (โน999):
Upside: โน999 - โน627.5 = โน371.5 (59% upside) ๐
Downside (SL): โน627.5 - โน498 = โน129.5 (20.9% downside) โ ๏ธ
Risk-to-Reward Ratio (R:R): 1:2.87 (Excellent reward for the risk taken ๐ฏ)
โ ๏ธ Risks Involved:
๐ Market Conditions: The overall market is in a LH LL structure, so we are trading against the trend ๐, which adds extra risk ๐ฅ.
๐ฅ 27 Jan 2025 Candle: The red candle with high volume is concerning, but no follow-through happened ๐. The stock bounced back quickly, which we can consider as a shake-out ๐ช๏ธ.
๐ Position Sizing: Due to the deep stop-loss (20.9%), position sizing is crucial to manage risk effectively โ๏ธ.
"The stock market is a device for transferring money from the impatient to the patient." โ Warren Buffett
๐ฌ Disclaimer:
This analysis is educational and not financial advice. Always do your own research ๐ and consult a professional advisor ๐ผ before making any trading decisions. Stock market investments are risky, and past performance doesn't guarantee future returns ๐ก.
Note
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Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
