This is for short term And this is risky too. Please DYOR before entering the trade.
1. Wyckoff reaccumulation. 2. Potential breakout candidate. 3. Downside risk 25% 4. Upside potential 80% -- long term. 5. Good entry at 2600 -2700 RR 1:9 downside risk 10%
1. Wyckoff reaccumulation 2. Breakout with volumes 3. Downside risk 20% 4. Near term target 950 - 1000 5. Long term target 1700 - 1800
1. Getting ready for breakout. 2. Consolidation of 200 days 3. Downside risk 30% 4. Upside potential 80-90% 5. Near term target 1350 - 1400 6. Long term target 2000 - 2200
price volume chart forum.valuepickr.com disclaimer... not an investing/trading recommednation
disclaimer... not an investing or trading recommendation the target is preliminary one..
The markup target of 585 is derived from this point and figure chart in this link.. invst.ly Discalimer.. not an investing/trading recommendation