Vaishali Pharma gave good rounding bottom pattern breakout on daily chart. This stock is from pharma sector and the pharma sector is currently in good momentum. It has potential to give 20% to 30% return in 4 to 5 weeks. So keep watch on this stock. The target level provided are based on Fibonacci retracement levels which is ₹223 ( 1.33 retracement level) as 1st...
Stock Name - Vaishali Pharma Ltd Ichimoku Cloud Setup : 1). Today's close is above the Conversion Line 2). Future Kumo is Turning Bullish 3). Chikou span is slanting upwards All these parameters are showing bullishness at Current Market Price and more bullishness AFTER crossing 167. #This is not Buy and Sell recommendation to any one. This is for education...
Stock Name - Vaishali Pharma Ltd Ichimoku Cloud Setup : 1). Today's close is above the Conversion Line 2). Future Kumo is Turning Bullish 3). Chikou span is slanting upwards All these parameters are showing bullishness at Current Market Price and more bullishness AFTER crossing 147 #This is not Buy and Sell recommendation to any one. This is for education...
Stock Name - Vaishali Pharma Ltd Ichimoku Cloud Setup : 1). Today's close is above the Conversion Line 2). Future Kumo is Turning Bullish 3). Chikou span is slanting upwards All these parameters are showing bullishness at Current Market Price and more bullishness AFTER crossing 115 #This is not Buy and Sell recommendation to any one. This is for education...
VAISHALI- Crossed Weekly and Monthly Pivots Upside. Today High is equal to 5 W high. Stock is trading in Squeeze for the past 3 days. Close is above 20 SMA on Daily, Weekly, and Monthly time frames. On the Daily time frame, SMA 13>34>55 and Close crossed D13 Upside. RSI- M:70.3 WK:67.3 D:57.8 Normal NR7 - Breakout Add to watchlist and trade after own...
This is a public swing trade idea and is only for Learning and observational purpose. Please understand your risk and take full responsibility of your actions. I might trail my stoploss after I get an entry but even if my original Stoploss hits, i exit the trade with pre-planned loss (risk). At target, I book usually 75% positions and trail stoploss for rest. ...