Price Analysis & Overview: 1. Good volumes. 2. Broke the trendline. 3. Above 425 price will blast. - Stay tuned for further insights, updates and trade safely! - If you liked the analysis, don't forget to leave a comment and boost the post. Happy trading! Disclaimer: This is NOT a buy/sell recommendation. This post is meant for learning purposes only. Views...
Entry: 🎯 Target: ⛔ Stop Loss: (MARKED IN CHART) 3💡 RISK REWARD 1 : 6 💰 Risk 1% of your trading capital. ⚠️ Markets can be unpredictable; research before trading.Disclaimer: This trade idea is based on Elliott Wave analysis and is for informational purposes only. Trading involves risks; seek professional advice before making any financial decisions.Informational onLY !!!
Excellent Breakout with follow up buying. Flat KS align with Breakout. 100% TARGET SOURCE - TGT1 at 288 100% TARGET TRIGGER HIGH - TGT2 at 372 200% RANGE TARGET - TGT3 at 423
Date : 31-08-2024 ------------------------------------- Breakout PICK RESEARCH TO OBSERVE ASTERDM Looks Good Above 421 SL 306 Target 456, 491, 527, 598 ++ Hold Period : Few Weeks to Months Reason for Pick : Breakout, Above 20, 50, 200 SMA Please consult your financial advisor before investing All research for educational purposes only.
Price Analysis & Overview: 1. Multiyear level BO. 2. Expecting some price to time consolidation before further move. 3. Trend is no doubt is super strong. 4. But price moving without retracement makes it risky to sustain the move. 5. I will wait for a better price to enter or a consolidation. 6. RRR is not very favourable at CMP. Monthly TF view: - Stay...
In this video we will be looking at the Momentum charts of GLOBUSSPR. And also look at the 3 main reasons for entry.
📊 Script: WIPRO LTD 📊 Sector: IT 📊 Industry-IT Large Cap Key highlights: 💡⚡ 📈 As per weekly charts of WIPRO the stock touched the all time high of 728 in Jan 2022 and since then the Company hs not reached at this level next resistance is at 612. As per the weekly chart there is cup and handle pattern having resistance of 538 the counter have tested this...
RVNL Stock Trendline Breakout | Momentum Trade Entry@607/595, SL- 570, TG 705 Disclaimer :- : I am just share my personal view as a trader. : Everything I discuss is for educational purpose only. : Please consult your financial adviser before taking any decision. : Trading in Equity market involves risk. : I am not responsible for any losses incurred by...
Avanti feed breakout with massive volume and retesting the resistance line.Once retesting done and if pullback happen then new target will be 1000 possible upside is 50%
Daily Time Frame At multiple Support 9 Aug 24 Candle with Exhaustions Volume 19 Aug 24 Hammer Formation 27 Aug 24 Good Buying Volume RSI Bullish Range Shift Bollinger Band Shows Volatility Diversion Only Educational Purpose
The 33th-largest cryptocurrency globally, ImmutableX (IMX), showed a 3% gain in the past week. A continuous acceleration in gains is anticipated, which could generate a higher high spree. Previously, IMX has been on a consistent fall for the last five months, marked by a series of lower lows that led to a falling wedge. The IMX has broken above the falling...
Safari one of the leading brand in luggage industry in India. On chart we can clearly see that stocks at breakout zone after 10 month consolidation. If you observe the Stock previous behavior you can notice that after a movement stock goes into consolidation zone and then give breakout and then consolidate near the breakout area for some time, after that it goes...
A Glance at Helium (HNT) Crypto: A Elephant Or A Paper Tiger Per the on-chain research from IXFI, the HNT has a 0.62 price correlation, making it less likely to follow BTC's price activity. The IMX has improved and now it follows a separate price structure. Helium (HNT) has seen a more than 140% increase in its trading price, driven by a breakout from a falling...
Buy at cmp 133. Add till 120. Target double+. Stoploss 118 closing basis. Holding period 12-15 months.
Buy at 350-335. Target 20-25%. Stoploss 320 closing basis. Holding period 3 months.
Buy at cmp 125. Add till 115. Target 30-40%. Stoploss below 107 closing basis. Holding period 3-6 months.
Buy at cmp 152. Add till 140. Target 225+. Stoploss 135 closing basis. Holding period 3-6 months.