Market Recap Nifty declined 0.47% to close at 21,352.60 Bank Nifty declined 0.48% to close at 44,866.15 India VIX declined 3.55% to close at 13.86
news is in market that some big company is increasing stack in company with 5% and get a approval of same by the authorities... might see new level but budget is in market... be careful for this whole week
Fundamentals: Positive: 1. Increase in revenue 2. Profit from operating activities are increasing 3. Book value per share is increasing 4. ROCE increasing 5. Debt to equity is 1.1 Negative 1. Recent Qtr performances 2. 41% promoter holding Technical: 1. Multi-year trendline breakout 2. High momentum 3. High Volume Therefore buy it before it feels like, "...
HDFC LIFE THE MARKET CRASH HDFC breaked previous 5 years SNR leble So it will fall like market crash for more then 2 mongth i will be bearish Trust me it's not a. Joke Previous 5 year from 2019 to 2024 It's not a joke it's not a small thing So do what's market says Just. Sell as much you can sell The entry point must be 603 Stop loss 625 Tp 468 First tp...
Mangalam Industrial finance - 2 Year Breakout Forming a cup pattern. Word of caution : Its a penny stock and is flying high on rights issue notice. Both targets and Stop loss plotted on the graph. Disclaimer : Educational Content and not a recommendation.
KPRMILL is showing a rounding bottom breakout and retest with good amount of volume. A good fundamental company with 35 PE but I am again interested in its share holding pattern please check... ( www.screener.in ) All data is available in public domain.. CMP : 820 TG : 1050 SL : Below 21 EMA Stock's selection based on 5 Point Analysis: 1: Idea :...
Above 168 closing in weekly TF target 200 225 250+ sl 150 below closing
THE BEST FLAYING STOCK FOR A MONGTH Here the priseaction simplyed PIND stock showing heavy bullish trend according to the following reasons 1 its clearly mentioned the Trend line 2 strong support zone 3 the stock following supply and demand zone smoothly 4 . due to some foundamental analysis its gonna be a best stock for this mongth The target should be The...
IFBIND - Weekly breakout with huge volumes after 3 years! Great price action with good upside potential. Waiting for a good dip to buy would give a nice 1:2 Risk reward.
➡️key trading area ➡️infrastructure theme ➡️single digit P/E ➡️public holding <2.50%
HFCL Ltd (Himachal Futuristic Communications Limited) is a diverse telecom infrastructure enabler with active interest spanning telecom infrastructure development, system integration, and manufacture and supply of high end telecom equipment, Optical Fiber and Optic Fiber Cable . (Source:-Screener) With growing 5G and Gigafiber demands, HFCL has a big future ahead...
- HDFC BANK is currently trading 6.8% from my previous short analysis - HDFC Bank can soon present a bullish scenario grab some orders and then flush out all the FOMO buyers - IMO 1100-1250 is a very strong demand zone for HDFC bank - HDFC bank can soon present an opportunity to bag it at cheap price - I am still heavily bearish on HDFC - Demand - 1180-1260,...
DXY/Dollar Index is currently trading near an overhead supply - It will be very crucial to watch how it exactly reacts to its overhead supply - IMO even if we see a good reaction from the overhead supply it will be still important to watch the reaction. - From a long perspective it's better to wait out and first let the breakout happen - let the base form -...
Fundamental Highlights: Market Capitalization: ₹37,020 crore Price-to-Earnings Ratio (P/E): 10.9 Return on Capital Employed (ROCE): 26.6% Return on Equity (ROE): 22.8% 3-year Sales/PAT Compound Annual Growth Rate (CAGR): 19%, 6% Technical Analysis: Since October '17, the price has exhibited sideways movement. A breakout has occurred this week, surpassing both...
1. Annual Revenue rose 16.78%, in the last year to Rs 25,725 Crores. Its sector's average revenue growth for the last fiscal year was 8.64%. 2. Annual Net Profit rose 106.52% in the last year to Rs 4,507 Crores. Its sector's average net profit growth for the last fiscal year was 2.34%. 3. Debt to Equity Ratio of 0.05 is less than 1 and healthy. This implies that...
- Nasdaq recently got rejected after trading at its all-time high - Nasdaq is currently retracing and looking to first mitigate the recent origin its started the impulsive move from - From a Trading perspective, I would prefer scalp shorts and complement them with swing longs once the retracement is done and completed - A shorter TF should lead to a...
- The US Index is currently trading on its All-Time High - From a Trade Perspective, I would like to wait and watch out what the FED delivers in the FOMC statement - The rate-cut bets are now fading away and making it look tough for traders that the FED will cut rates - Inflation is currently sitting at 3.4% - Cutting rates fundamentally doesn't look feasible...