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short below 200
with sl 250
with weak investor more possible to drifting down to lower levels to come
Support 617 progressive, target medium term 810
Forms Bouble top in monthly chart
we can sell from here SL should be 680
Risk and reward ratio is good from here
price showing flat moment but Money flow index going down
It has been observed that the price action consolidating in a range and now got a positive breakout above the resistance levels. Now, it shall further move up.
low pe stock, hope to see a huge upside and break 52 week high,
should be bought at new high. Trying to buy at a dip with a stop loss of 2%
if i am out will buy at a new 52 week high.
If in next trading session it breaches the candle we can enter in trade. Target is 550 and SL 400. With Risk to Reward ratio of 1:2.
The Stock is following the channel. It will contininue the channel.
1)A very attractive company in the space of housing finance.
2)Company is beating the sectoral growth rate, operating profit, sales etc YoY.
3)Numbers like Operating profit, net sales are growing YoY @>20%
1)Stock is about to touch the all time high.
Keynote-->Its a good stock that can be accumulated at every ...
as we can see the the bearish engulfing pattern and dark cloud cover there and stochastic
overbought level and there is a bearish divergence also there
As per today's price action, high buying pressure has broken through the resistance level of 283 and made a monthly close above previous resistance level of 283 that indicated strength and bullishness. It is also be noticed that the new wave has arrived after ABC correction showed in above chart. It means that this breakout can state the beginning of a new wave ...