took 3 min chat for better understanding a perfect breakouttttttt just wait and watch sureeeeeshooot juuuuuust watchhh
According to the Chart pattern it seems to breakout from the channel and therefore it can possible goes down to either Rs 61.5, within 1 week or soo on and if goes down than the nearest downfall seems to be 51.55 to 52, currently today it trading between Rs 63.30-63.5pa current day high Rs 64. invest or Trade by your own research or analyze I am just educating the...
Making bearish M pattern in short term with small bullish pattern. Entry : 500 - 497 Exit : 490 SL : pre-heigh
BAJAJ FINANCE LTD. Refer the mentioned levels for next move towards bearish. if price sustain below 5923.
Tata Motor in 30 mins time-frame formed bearish harami. SL 443.85 Probable targets is 428.25. But primary trend is bullish. This means buy in equity and short in short term (option trading).
1st Short idea of this week, and its a MIDCAP IT Stock.. Strange🤞🏻!! MIDCAP IT was firing last week but now LTTS showing some weakness at 61.8% Fibonacci levels.. indicates some profit booking for short term.. It is a risky trade as per current trend.. So, we may play it with a strict stoploss at 5401.15 (recent high).. and if it favors then we might get our...
The Price has been facing resisitance from 200 EMA . The structure is already provided for reference along with S&R LEVELS. Expecting 979 or 965 max. The Indicator Used: 1) Daily Lines Plots Daily 20 (BLACK) & 50 EMA (GREY), BLUE (200 DAILY EMA ) On Lower Time Frame Charts. Not Activated. 2) Valuation band KEYS: Red Faded Cloud: Over Valuation. Grey Faded Cloud:...
CMP 2737. Target 2600. The Put is in favor. Target duration 1-2 weeks. SL of 2845
Divislab is highly likely to break 1600 in the coming fews. It is in a overbought zone and RSI has given a sell indicating a move south for Divislab. #Shortterm. Adjust trading volumes as per entry price. Disclaimer : All investments involve risk, and the past performance of a security, industry, sector, market, financial product, trading strategy, or...
ENTER SHORTS ONLY BELOW 146.4 (Previous day close) FOR DOWNSIDE TARGET 143.6 STOP LOSS 148.4
RELINFRA has created a long legged Doji (kind of a shooting star) which signifies its weakness. Wait for a bounce back upto 406, and SELL AT 406 with SL at 416 and Target 1 at 477 and Target 2 at 464
L&TFH has broken down Ichimoku Cloud with good volumes. Sell L&TFH around 154.45 with SL of 156.45 and Target of 149.20
HCC has broken with greater volumes on NSE below Ichimoku Cloud and with bearish indicators setup. SELL HCC at 30.35 with Stop-loss of 31.25 and Target1@29 and Target2 @ 25.80
ONGC is in downtrend and with higher volumes on NSE. SELL ONGC at 178.50 with Stop-loss of 184.3 and Target of 170.40
Sell ULTRACEMCO at 4054 with Stop-loss of 4080 (Stop loss is on closing basis, Please do not exit the stock in intraday volatility), and Target of 3980
BEML has been a favourite shorting opportunity on NSE in the recent downtrend. This call is for tomorrow. Sell BEML @ 1160 with SL of 1190 and Target of 1070
NMDC lost 6% on NSE today with twice its average traded volumes. Fresh shorts have also been initiated. SELL NMDC@123.90 SL:125 TGT1:122, TGT2:119.40
i will like to sell tcs for a good downside target as it looks technically weak!!!!!!