## Trade Details - Name of The Stock: ****Karur Vysya Bank Ltd**** - Type of Trade: Momentum Investment or Positional Trade - Duration: More than 60 days - Entry Level: 125 - Stop Loss: Initial 120.00 (Trail accordingly) - Target: above 150 --- ## Chart Details - Up-trending stock - Trading on BUY Zone - Favorable Risk to Reward Ratio - Good Q1 results...
## Trade Details - Name of The Stock: ****Dixon Technologies (India) Ltd**** - Type of Trade: Momentum Investment or Positional Trade - Duration: More than 60 days - Entry Level: 4122.00 - Stop Loss: Initial 3850.00 (Trail accordingly) - Target: above 4730.00 then 5700.00 --- ## Chart Details - Trading on Support Zone - Favorable Risk to Reward Ratio -...
We can go with bulls with 1:2 Risk reward....yes the stoploss is big but untill pr unless stoploss is broken we cannot predict any sell side signal.....
Elliot waves analysis. Impulse waves on the downside are completed. Expect a quick upside move. Entry - 540-550 levels Stop loss- 530 Trade duration - 10 days Minimum Target- 570 - 580. Can expect 5 to 6% returns in the next 8 trading sessions.
MGL trade possibilities for buy. Weekly sideways. Travelling from day support to day resistance.
EURCHF is about to touch the floor of 1.03016 in the coming days but for that, we have a point to trigger 1.03831 once it touches this sealing then we can aspect eurchf to fall down to our target
This Trade idea is for 24 . 01 .2022 CMP : 354.95 Buy above 382 Target: 417 1:1 Reward StopLoss : 348.65 Note For Safe Trade: Always know your risk before taking entry..
Stock is trading near Weekly channel support. Can be bought at CMP for a good 18% return on a risk of around 4%. To be hold for minimum 2-3 weeks. Note: If price breaks above 214 with a good bullish weekly candle, this stock can give big returns if kept patiently.
Long above 133 for target of 165 plus with SL 125 RR looking wonderful.
Go long on ATGL as it has a triangle breakout.It has a very good risk reward so enter the trade as soon as possible
ITC has a breakout from triangle pattern. Go long and place your stoploss below the upper trend line of the triangle
ITC : RISK : REWARD RATIO 1:3,PRICE is exactly at its demand zone,its time for investing. swing traders can get away at take profit level 345 (approx 18 months) Investors can hold upto take profit level 452 and wait for next suitable entry.(approx 2 to 3 years) THESE ARE MY VIEWS ON ITC ANND NOT RECOMENDATIONS,KINDLY USE IT AS GUIDLINES ALONG WITH YOUR...
Buy on Dips. Don't go all in. It would be good to invest some now and it can revert pretty quicky. High risk. High reward situation right now.
It's at trendline support making an inside bar after it got beaten down due to bad numbers. Risk reward is favourable for bullish view. Let's what price action brings for this one Buy above 48.6 with SL at 46.8 for 52-54 Sell below 46.8 with SL at 48.6 for 42
BTC Long position. Leverage should be between 3x to 5x for fund 2% to 5% of your portfolio.
* Before you expecting anything else from this graph just look at the daily and weekly and Monthly graph * ICICIBank is getting support from its 100 DEMA and 200 DEMA sharply * Now ICICIBank is above all average as well as the Near of all Average Respectively 426-418-420-400 * There is some consolidation in Hourly graph if Nifty continue above 11325 then it will...
NSE:CONCOR short at 484.75 with SL 488.05 and three potential targets. Note: Please Consult Your Financial Advisor Before Taking Any Decision Always risk 1% of account size per trade, adjust the position size accordingly