Its holders have grown, MVRV is showing an undervalued state, increasing transactions, and lesser correlation to BTC, and a recent interview with the CFO has marked optimism in Jasmy. Per its price action, it trades near a crucial support level after the rejection from the top. The critical demand level at $0.01655 is the key area to watch because a break below...
RSystems is forming potential Cup and Handle Pattern. Sector tailwind. One can buy above 530/540 for upward targets and gradually increase your position by averaging up. Stop loss - 485 Disclaimer : Educational Content. Please do your own research.
Recently we saw US dollar getting weak and falling, which made the fundamentals favorable for the dollar crosses like GBP, AUD, EUR , NZD etc. This is an idea to get long on the Euro if the price pulls back a bit to the demand zone and riding the uptrend, which will give a good RR of 1:3. Note- This is my own trading idea and not a financial advice, trading is...
The Nifty Bank Heavyweights have all completed their rallies. All but two names. I had already posted about HDFC Bank which is on the cusp of explosion. The next big name in this list is Kotak Bank. There is a good price consolidation that is happening. This is a multi year consolidation. Once there is a strong Weekly candle close above 1900 level, it is ripe to...
The stock has likely completed wave iv of larger Wave 1 (that began in March’23) on 29th Aug’24, as seen in the chart. It now should resume its alight as wave v that can take its price to a minimum of 2000+ levels (>30% from current levels of 1530). Both RSI and volumes seem to be in alignment of this view. After the move and completion of Wave 1, the price may...
As one of the leading global investment firms specializing in technical analysis for the US market, our mission is to deliver precise and actionable insights. This week, our focus is on the Nasdaq index, where we see potential for significant market moves as technical indicators signal a possible shift. Below, we provide a comprehensive analysis of key levels,...
📊 Script: INFOSYS LTD 📊 Sector: IT 📊 Industry: IT - Large Key highlights: 💡⚡ 📈 NIFTY IT and Infosys charts seem to move in the same direction even so that the chart patters are same for weekly time frames. NIFTY IT (42913) and Infosys(1953) both touched all time high on Friday 30-08-2024. 📈 As per weekly charts of Infosys the stock touched the all time high of...
Kindly see my trendline analysis for Alkem laboratories and check the levels. DO your own analysis
AVPINFRA - Stock is near life time high, expecting bullish momentum once its break out , Long term view.
Patel Engineering - Long term bullish view - Should break out from 10 Year range and expecting bullish momentum
Chavda infra --> Stock near life time high, once it breaks out , we can expect one more leg up.
TV 18 buy in dips upto 44 SL 42 Its already formed reversal and given hint of upmove.
COFORGE-Cup and Handle Formation Name - COFORGE Pattern - Cup and Handle Status - Need to close above 6421 Cmp - 6344 Target - 8594 SL - 5800 Fundamentals : Here are some key financial ratios for Coforge Limited: Price-to-Earnings (PE) Ratio: 48.681 Price-to-Sales (P/S) Ratio: 4.172 Debt-to-Equity Ratio: 0.1363 Return on Equity (ROE):...
For Educational Purpose.. ⚠️ I'm not a SEBI REGISTERED analyst & my view can be biased ⚠️ No Buy Sell recommendation, do your own DD. #HOVS IS READY TO BUY LONG - Last Months Volume Massive - Multi Year Breakout Waiting Time 3-6 Months Long Above (Required Candle close) - 99.5 SL - 80 Target - 110, 120, ATH & More Thank you.
According to my chart take the trade. Don’t over lapse and don’t over size manage your risk properly
According to my chart take the trade. Don’t over lapse and don’t over size manage your risk properly
strong support at 2300 Rsi divergence and Macd cross 1st Target- 2400 T2 - 2450 T3 - 2500
MPHASIS Name - MPHASIS Pattern - Symmetrical triangle Status - Breakout Cmp - 3104 Target - 5209 SL - 2670 Fundamentals : Good Here are some key financial ratios for Mphasis Limited: Price-to-Earnings (PE) Ratio: 28.71 Price-to-Sales (P/S) Ratio: 3.862 Debt-to-Equity Ratio: 0.093 Return on Equity (ROE): 15.2%3 Net Profit Margin:...