Current position is LONG bought on September 25-2020 at 20805 ===================================================================== Action for 28 September 2020: Continue to hold long and reverse to short if BANK NIFTY closes below 20656 Profit as of now 130 points NSE: BANKNIFTY All Values are for October 2020 Future Trade as per your risk profile and use...
Current position is LONG on September-25-2020 at 10939 ===================================================================== Action for 28 September 2020: Continue to hold LONG and reverse to Short if NIFTY closes below 10921 All Values are for October 2020 Future Profit as of now 93 points. Trade as per your risk profile and use these for educational...
Hexaware is an Uptrend and Showing Good Volume BuildUp for the next move current Resistance is near 470-475 if it crosses good move can be seen.
Any Close below 2170 will open target for 2001 keep in Radar for Shorting Reliance
Current position is SHORT on September-17-2020 at 11564 ===================================================================== Action for 25 September 2020: Continue to hold SHORT and reverse to Long if NIFTY closes above 10939 All Values are for October 2020 Future Profit as of now 724 points.(Big Bonanza!!). Trade as per your risk profile and use these for...
Current position is SHORT sold on September 17-2020 at 22497 ===================================================================== Action for 24 September 2020: Continue to hold short and reverse to long if BANK NIFTY closes above 21508 . Profit as of now 1197 points NSE: BANKNIFTY All Values are for September 2020 Future Trade as per your risk profile and...
Current position is SHORT on September-17-2020 at 11564 ===================================================================== Action for 23 September 2020: Continue to hold SHORT and reverse to Long if NIFTY closes above 11250 All Values are for September 2020 Future Profit as of now 387 points. Nifty Trend change timings for 23/09/2020 :...
Current position is SHORT sold on September 17-2020 at 22497 ===================================================================== Action for 23 September 2020: Continue to hold short and reverse to long if BANK NIFTY closes above 21431 . Profit as of now 1272 points NSE: BANKNIFTY All Values are for September 2020 Future Trade as per your risk profile...
Nifty Future Buy Positional ~ 11175, Stop ~ 11000, Target ~ 11400, 11500
Current position is SHORT sold on September 17-2020 at 22497 ===================================================================== Action for 22 September 2020: Continue to hold short and reverse to long if BANK NIFTY closes above 21521 . NSE: BANKNIFTY All Values are for September 2020 Future Profit as of now 1205 points. Guys i hope you people have traded...
Current position is SHORT on September-17-2020 at 11564 ===================================================================== Action for 22 September 2020: Continue to hold SHORT and reverse to Long if NIFTY closes above 11302 All Values are for September 2020 Future Profit as of now 338 points. Trade as per your risk profile and use these for educational...
Current position is SHORT on September-17-2020 at 11564 ===================================================================== Action for 21 September 2020: Continue to hold SHORT and reverse to Long if NIFTY closes above 11555 All Values are for September 2020 Future Profit as of now 45 points. How did we trade today for potential reversal...
Current position is SHORT sold on September 17-2020 at 22497 ===================================================================== Action for 21 September 2020: Continue to hold short and reverse to long if BANK NIFTY closes above 22307 . NSE: BANKNIFTY All Values are for September 2020 Future Profit as of now 353 points. Trade as per your risk profile and...
Long Built up in Meghmani Organics. Buy above previous high and sl as last day close. Target opens till 95/120/120+.
SUMICHEM | Breakout with volume CMP : 300 Support : 280 Target = Open (or i will usually keep risk x 2 times) Can buy during retracement to 295 (P.S : Have shared atleast 110+ charts in tradingview community and i used to put a google spread sheet link where i have the records analytics i post with the live status. But due to tradingview rule they removed all...
A good level to buy with a positional view. Target - OPEN.
Buy around 677 Target around 700 (book 50%) If crosses 700, additional 5~10% Risk - 661 (SL)
M&MFIN | Flag consolidation going on, upon breakout we have some good upto 10% immediately. CMP : 133 (Buy dips until 127) Stoploss below : 120 Target : 158,176,190 P.S : Have shared atleast 110+ charts in tradingview community and i used to put a google spread sheet link where i have the records analytics i post with the live status. But due to tradingview rule...