Given this targets and ranges on monday in our telgram channel l.. Reasons asking one to train his eye rather going behind logic initially is that once you run behind logic you will be thinking too much and overthinking leads to losses in market .. keep an eye on the structure and chart patterns and once you gain confidence over a pattern logic follows and...
#M_M strong up move to accumulating one side break to trade #long or #short
Setup Contains: 1. Equal Lows Liquidity Raid 2. Bullish Structural Break 3. Mitigation of Orderblock 4. LTF Refinement FOLLOW PAFX & TRADE LIKE BANKS 💸
UBL is in uptrend and Making hh-hl, looking good for a short term long setup with the current pullback. SL-1609 Target-1825 Buying at 1650
From past few months stock has been trading in a channel. Finally it has broken from its previous resistance with significant volume. Also, recent quarter results were good. we can expect a good upside move from current levels. At this price risk reward is not attractive. So, it is better to wait for retest near 1435-1400 levels. Maintain strict stop loss at...
Highest volume ever traded for the stock in the month of Oct,2022. Operating margins are v.good. An uptrend has begun for the stock.
Good Day , Hello Traders, Deepak Nitrate is giving a trendline on a Daily basis. Strength is coming from the bottom. Good candidate for the Portfolio, near term targets are 2377 / 2679 Chart Self explanatory. Time Frame : Daily. Disclaimer : I am not SEBI registered analyst, this is for educational purposes. Please trade as per your risk and do consult...
Good Day , Hello Traders, Campus is strong and very bullish. Keep 590 as stop loss and one can hold for the target of 700 Chart Self explanatory Time Frame : Daily Disclaimer : I am not SEBI registered analyst, this is for educational purposes. Please trade as per your risk and do consult with your financial advisor before taking any trading...
bank nifty seems very bullish we can see rally for more 1400 points target and stopped mention in chart. enjoy.
nestle go for long entry- 19548 stop- (19445- 19455) tgt- 20300 1:8 risk reward trade.
Points to be noted: 1> A neckline resistance of 1937 levels is being tested repeatedly & getting rejected 2> For any reversal to sustain, a good base formation must precede it. Here we have a Cup & handle rounded base as a solid foundation 3> A good consolidation usually results in a healthy breakout. We see the stock has been in range for more than a month....
Good Morning Everyone, Key levels on Bank Nifty -->Major Supply zone- 41700 - 42000 -->Fib Resistance zone: 41250 -->On Higher Time frames Major Support 39850 level -->If we observe the volumes on recent swing high i.e., 40700 We can consider this as a decent breakout indicating Bullish behavior -->Until we get a Closing below 39850 level market will...
A 15min candle close above 17560 will indicate a bullish scenario. Otherwise We can take the risk with a small SL All the details are mentioned on the chart only lets see if we can secure this trade with at least 1:1 RR. I am posting this for Live testing purpose. Managing the trade: If the trade goes in our way *Exit half Quantity @1:1 Risk/Reward Target and...
very good breakout on hemiprop on weekly time frame,must on watch list
All the details are mentioned on the chart only Worth a shot with low SL lets see if we can secure this trade with at least 1:1 RR Managing the trade: If the trade goes in our way *Exit half Quantity @1:1 Risk/Reward Target and Shift to SL to cost *Exit Half of the remaining with 1:1.5 or 1:2 Risk/Reward (by looking at momentum) and trail the SL. *Exit...
All the details and key levels are mentioned on the chart. Without sure confirmation don't enter long on the breakouts . False breakout and Sell off will be a major scenario. Managing the trade: If the trade goes in our way *Exit half Quantity @1:1 Risk/Reward Target and Shift to SL to cost *Exit Half of the remaining with 1:1.5 or 1:2 Risk/Reward (by looking at...
Reliance taking support at two year long channel. RSI also taking support near 40 levels. Holding horizon - 6-7 months. Targets - Around 3100 Stop Loss - 2200 This is a setup with good risk reward. I will prefer a covered call (stock in cash with shorted OTM call) in case IV rise, else plain vanilla cash stock. Please Note - This is not a trading advise, only...
All the details are mentioned on the chart Till now market showing bullish bias -->There is just one more check box left -->If price can give a closing above previous high and if it can retrace min 0.5 -0.618 % then we can enter for a long position. -->No trade if price comes back without creating a higher high & View will be negated if it cross bellow 40200...