buy around 2150 -2160 if possible or else get it with your own risk to reward ratio target for 3-5 % its rsi in day is deep oversold 14< hold it gona give you a big 3-5 % and then exit wait till make a w pattern then reenter to get 5-8 % Remember any stock in the world cannot move with slope as infinity it need's price action calculus approach Big one...
buy at 2680 around sell target 2800 its a deep oversold rsi is 7 in 15min candle and rsi <15 in 1 hr time frame plan your risk to reward correctly :
SUMMARY:- *stock is bottoming out *it is good good support zone *overnight risk exist *so i would suggest to trade in options *use morning low as an exit signal ICICI BANK MAR FUT BUY@694 STOP@684 TARGET@707-717-727 *this view is my personal view trade with strict stoploss *once view may differ from others so trade with solid mind *once in profit and first...
buy 344.50 Target sell 1 - 1.5 % sl 0.5 % from entry strategy Rsi deep over sold rsi around 10 in 15 min chart taken 150 QTY target 1.5 % if seems or else ill take 1 % and exit
#ICICIPRULI entry- 50% @ 550 & 50% @530 Tgt 678 SL 500 Risk: Reward - 1:2+
Having a lot of expectation for this stock to move upside. There are lot of confirmations on charts, However I am not plotting them on charts neither disclosing for now. The probable targets are 1242 & 1273 in short term. Rest all will be updated afterwards in update idea section. Chart & Analysis - Adarsh Dey
Bullish MACD crossover in Bajaj electricals. Also RSI is in oversold zone and stock is 28% down from recent peak value. Also tomorrow is Q2 result.
So treating a bitcoin investment like venture capital or growth equity makes logical sense because it’s much younger than gold and needs to prove itself to be a worthy competitor over time. Consider the following thought experiment. What if bitcoin didn’t trade every second of every day? What if, instead, you could only exit your bitcoin investment five years...
Looks good for LONG when it closes above 623 and trades above the same. For the target of 720-743 in short term. However the SL is 570. CHART AND ANALYSIS BY ADARSH DEY
Nifty View: What could have been a firm positive close above 15,850 for the benchmark Nifty turned around as we noticed sharp selling within the banking and financial stocks that weighed the index down 129 points from intraday highs to close near 15,750. On daily charts, we have an “Outside Bar” with the short term trend on the verge of a reversal. Yes, short...
RISK REWARD BASED TRADE SETUP FOR USDINR \NEAR TRENDLINE SUPPORT , AND BASE AREA
Can the premium or discount in Index Futures tell us anything about upcoming market moves? Generally, when discount widens, the bearish mood of the market is increasing. When premium widens, the bullish mood of the market is increasing. However, sometimes premium may also fall due to: 1. When FII’s are long on the markets, they short Nifty futures as a hedge....
For all the basic stuff that I am using in this post, you will have to visit the following idea. This post is in continuation of SBI weekly divergence study.. Abbv. used: Overbought -- OB Oversold -- OS Divergence -- Div A-- OB B-- Div after OB at A C-- Double top and Div Multi week correction back to support D-- OS at support and very sharp rally due to...
Find the levels marked in the post.
Sell tvsmotors at 650 with sl 662 tgt 630-620 the reason is after long rally come down some point to gather more power.
The stock is in consolidation from long time. Strong resistance at 385 and Support at 200 MA. If breaks resistance can go to 450 levels. Keep a strict SL at 305. Stoch RSI showing oversold zone. Keep Watch.
NSE:ESCORTS1! Tested - Lower Trendline of Channel today - Was today's candle a reversal candle - will come to know soon. If breaks 1300 Level in tomorrow's session - Might see further sell-off and look for some support at 100 Day EMA @1243 Thanks Chris for these Indicators!! CM_Stoch_MTF & CM_williams_
CANFINHOME | Small swing trade for 5% CMP : 466 SL : 456 Target : 488 1 : 2.5+ risk reward setup.