Cap and hold pattern at higher time frame Entry above 32.50 Stoploss 21 Expected more than 30% returns Targets 40,45,50+ Remember its a small cap stock Only for educational purpose.
This stock has broken out of 3 month strong resistance zone. Stock name: India Bulls Real estate. Current view is bullish with expected swing trading target around 112 which is weekly resistance, i.e. around 18-20% from current price.
📊 Details Life Insurance Corporation (LIC) is the largest insurance provider company in India. It has a market share of above 66.2% in new business premium. The company offers participating insurance products and non-participating products like unit-linked insurance products, saving insurance products, term insurance products, health insurance, and annuity &...
All information given is only for educational purposes. I am not a SEBI Registered analyst. Please consult your financial advisor before investing.
📊 Details Grasim Industries Limited is the flagship company of the Aditya Birla group, it ranks amongst India's largest private sector companies. On standalone basis, GIL’s core businesses comprise of viscose Staple fibre (VSF), caustic soda, speciality chemicals, rayon-grade wood pulp (RGWP) with plants at multiple locations. It also has certain other...
📊 Details Bharat Petroleum Corporation is a public sector company which is engaged in the business of refining of crude oil and marketing of petroleum products. Disclaimer: This analysis is solely for educational purposes and does not make me a SEBI registered analyst. If you found this analysis helpful, I encourage you to like and share it. Your...
During the previous upmove, Nifty left a lot of gaps on the downside. All of those gaps, as shown in the chart, have now been filled. Nifty has a high chance of bouncing back from here. Markets are extremely oversold, abandon your bearish bias atleast until you see a corrective move on the upside
BnF is forming an inverted head and shoulder pattern. It can give a good move if we see a strong breakout which will induce short covering. Targets can be retest of Previous ATH. Wait for a breakout, don't make inconclusive entries
Short Term Trading Advice by Goodluck Capital Buy Rail Vikas Nigam Limited (NSE:RVNL) Buy Range- 167 - 172 Target- 188 - 194 StopLoss- below 157 Potential Return- 11-14% Approx trade duration 14 - 16 days
Short Term Trading Advice by Goodluck Capital Buy Prakash Pipes (NSE:PPL) Buy Range- 420 - 440 Target- 500 - 520 StopLoss- below 375 Potential Return- 18-21% Approx trade duration 14 - 15 days
Prakash Pipes Ltd , currently at CMP 448.90, has recently experienced a breakout. Historical data suggests that breakouts with significant volume tend to perform well. Today, the price has broken out with notable volume. Key Points: Breakout Observation: The breakout pattern, particularly when accompanied by substantial volume, has historically yielded...
📊 DETAILS Sector: Automobile - LCVS/ HVCS Mkt Cap: 94,717 cr Eicher Motors Limited, incorporated in 1982, is the listed company of the Eicher Group in India and a leading player in the Indian automobile industry and the global leader in middleweight motorcycles. Eicher has a joint venture with Sweden’s AB Volvo to create Volvo Eicher Commercial Vehicles...
📊 Details Incorporated in 1984, GAIL, a Government of India undertaking, is an integrated natural gas company in India. It owns over 11,500 km of natural gas pipelines, over 2300 km of LPG pipelines, six LPG gas-processing units and a petrochemicals facility. It also has a joint-venture interest in Petronet LNG Ltd, Ratnagiri Gas and Power Pvt Ltd, and in the...
SHRIRAM PROPERTIES LIMITED 03/12/2023 CMP - 113, wait for retest and enter in 110 to 113 Target - 117, 120, 132 SL - 98 I am not SEBI registered.The information provided here is for education purposes only.I will not be responsible for any of your profit/loss with this channel suggestions.Consult your financial advisor before taking any decisions.
📊 DETAILS Sector: Pharmaceuticals & Drugs Mkt Cap: 24,145 cr Ipca Laboratories is engaged in the manufacturing and marketing of pharmaceuticals.(Source : 201903 Annual Report Page No: 68) TTM PE : 49.16 (High PE) Sector PE : 43.66 Beta : 0.31 📚 INSIGHTS Mid range performer Stock with medium financial performance with average price momentum...
KNR CONSTRUCTIONS LIMITED- Weekly chart After 2 Years correction trend line Breakout happened. 02/12/2023 Swing trade CMP 285.60 Stop loss - 188 Target 330, 362, 460, 620
📊 DETAILS Sector: Diversified Mkt Cap: 9,895 cr Birla corporation It is a company of M.P Birla Group. The Co is engaged in the manufacturing of cement of various kinds and also has a presence in the jute goods industry. TTM PE : 258.55 (High PE) Sector PE : 48.06 Beta : 0.97 📚 INSIGHTS Strong Performer Stock with consistent financial...
Weekly Swing - AARTI DRUGS LTD Trading in 491. it would be go long This view Educational purpose only.