All values are for NIFTY AUGUST Future values and NOT Spot. Current position is SELL sold on 29 JULY 2020 at 11249.38 ================================================================================== Action for 3rd August 2020: Continue to hold Short and reverse to BUY if NIFTY closes above 11163.31 Profit as of now 144 points NSE:NIFTY Will update Trend...
All values are for NIFTY AUGUST Future values and NOT Spot. Current position is SELL sold on 29 JULY 2020 at 11249.38 ================================================================================== Action for July 31 JULY 2020: Continue to hold Short and reverse to BUY if NIFTY closes above 11143.65 Profit as of now 164 points These numbers are...
Equitas has given a Positional short signal basis the Convergence of Rising Vixfix and Declining OBV. It is a Positional Short - Target of 45, I would enter via Theta Neutral Bear Put Spread
All values are for NIFTY AUGUST Future values and NOT Spot. Current position is SELL sold on 29 JULY 2020 at 11249.38 ================================================================================== Action for July 30 JULY 2020: Continue to hold Short and reverse to BUY if NIFTY closes above 11269.54 Profit as of now 35 points Give me a "like" if you find...
ICICI triangle breakout given but has strong resistance at 387-388, Better to buy only above 388 for long targets. If SL hits then this trade would be for sale side...Targets on chart...
All values are for NIFTY JULY -AUGUST Future values and NOT Spot. Current position is BUY bought on 28 JULY 2020 at 11163 ( same for August future as well) ================================================================================== Action for July 29 JULY 2020: Continue to hold LONG and reverse to SELL if NIFTY closes below 11246.85 for July Future or...
All values are for NIFTY JULY FUTURE values and NOT Spot. Current position is SELL sold on 27 JULY 2020. @ 11119.7 ================================================================================== Action for July 28 JULY 2020: Continue to hold SHORT and reverse to BUY if NIFTY closes above 11163 Profit as of now 4 points Give me a "like" if you find this...
#TECHM :- cmp 664.55 buy for tgt 720rs with sl 590 clbs BREAKOUT DONE HUGE VOL. 52WEEK HIGH
All values are for NIFTY JULY FUTURE values and NOT Spot. Current position is BUY bought on 17 JULY 2020. @ 10751.52 ================================================================================== Action for July 27 JULY 2020: Continue to hold LONG and reverse to SELL if NIFTY closes below 11119.7 Profit as of now 418 points Give me a "like" if you find...
Grasim Industries - Positional buy above 598.80, Target - 617 & above , SL-580.
NSE:KTKBANK (For Learning Purpose) Currently trading in Wyckoff's Phase 1 (Accumulation) Test of supply happened and price started to move up with expanding volume We can clearly see volume expansion when price moves up and volume contraction when price moves down or trading in range Price might move down to ₹40 - ₹42 range before starting to move...
All values are for NIFTY JULY FUTURE values and NOT Spot. Current position is BUY bought on 17 JULY 2020. @ 10751.52 ================================================================================== Action for July 24 2020: Continue to hold LONG and reverse to SELL if NIFTY closes below 11142.7 Profit as of now 465.8 points Give me a "like" if you find this...
The stock is sitting beautifully at its 0.618 retracement level. Two long term supports/resistance are drawn at 480-482 & 498. You will have to scroll to left to see why! It made a Shooting star today but I won't read a lot into it. Positional Trades: Go long above 465 for 470, 475, 478, 482 with SL at 459 Short below 459 for 455, 450 with SL at 464. Please...
Apollo Hospitals seems bullish along with other hospital/pharma labs companies Reasons for long: 1) Long as per Elliott Wave 5th wave, in uptrend with a strong movement today 2) Above Fibonacci resistance, can continue up-move 3) Pharma/Hospitals are in overall up trend 4) Buy above 4) Targets essentially: Target 1: 1,535; Target 2: 1,550: Target 3: 1,584. SL:...
Hi guys, starting a weekend series where I will pick 1-2 buys and 1-2 sells for the coming week.. but of course there will be some pick through the week for intraday purposes as well. Reasons for long on BEL: 1: Tweezer bottom on BEL at a strong support zone (level is drawn in the chart) 2: Strong ending after taking the strong support, so we can expect a good...
All values are for NIFTY JULY FUTURE values and NOT Spot. Current position is BUY bought on 17 JULY 2020. @ 10751.52 ================================================================================== Action for July 22 2020: Continue to hold LONG and reverse to SELL if NIFTY closes below 11102 Profit as of now 423 points Give me a "like " if you find...
IGL has broken slow out of a descending wedge. The stock has had a considerable fall after recovering beautifully post COVID. Now, it seems like the stock has slowly begun it's up move again The Stock has consistently followed pattern breakouts/breakdowns prior to this. (As shown in the chart). See a long above 420 (safer 425) for the next Fibonacci targets...
Current position is BUY bought on 17 JULY 2020. @ 10751.52 for July 21 2020 Continue to hold LONG and reverse to SELL if NIFTY closes below 10932.53 Profit as of now 258 points Give me like if you find this useful in Swing Trading. Book partial profits as well NSE:NIFTY Trend Change timings for 21 JULY 2020 :: 10:15,11:03,12:25,13:17,14:26 These swing...