intradayboth side potential avoid first 15min breakout wait for 15 min candle closing targets are marked follow risk management do your own analysis do workout do meditation start reading bookby hunterhunt7777
tata motorstata motors weekly time frame .. i guess correction is about to end .. invest at your own risk .. this is according to my analysis by sincereLion1498119
TATA Motors QML Pattern#Tata Motors QML Pattern. A QML is a reversal pattern that is created after a significant move in the market. Price will retrace back to fill the liquidity void. our main focus is a QML(Quasimodo Pattern) with FTR and Liquidity void for high-probability trading. Wait and Buy @ 390 T1: 443 T2: 460 SL: 380 Shortby sthenu3
TATA MOTORS Weekly ChartAccording to the weekly chart analysis, TATAMOTORS has been experiencing a prolonged downtrend. However, there is a possibility of a significant upward movement if the stock breaks out of this downward trend. TATAMOTORS is the largest player in the electric vehicle market in India, making it an attractive investment opportunity. As a result, we are monitoring the stock closely and waiting for a breakout of the downtrend to take advantage of the potential profits that could be made.Longby HSJNFinWisdom1
TATAMOTORS BEARISHTatamotors Closing 416.65 with stoploss 429 then targets are 396-390. Selling Reason. 1 --> Price Break the #Trendline and now retest the trendline. 2 --> Volume is also show the #Bearish and also selling volume is coming. 3 --> RSI is Ready to Break 40. 4 --> #ADX is show the #Bearish move and -DMI is rise. 5 --> Close below 200 EMA. 6 --> Bollinger Bands are ready to open in #Downside.Shortby h24r244
Volatility contraction This contraction of all major AVWAP(YTD,2022 AVWAP , weekly range high and lows, daily swing high and low Suggesting an trending move about to happen Initial signs of downtrend given with price closing below all major AVWAP WITH AN SL OF 442 TRAILING BASIS Shortby nitinbhardwaj3412
Short Tamo look weak, intial signs of trend reversal Started trading below 2022& 2023 Avwap marked with yellow Weekly Range Swing low 380 avwap marked with green Weekly Range Swing high 530 Avwap marked with orange Swing high 460 Avwap marked with blue Swing low 415 avwap marked with blue It might be start on new trend of downside Intial signs given today As per price closed below all major Avwap Sl is small as it is the intial stage at 442 Shortby nitinbhardwaj3410
Short Tata motors - Target 423Short Tata motors as per trendline shown -- Target 423 in coming 2 weeks. Stop loss 455 upper (trendline) its movement is expected to parallel Nifty, if Nifty gives breakout on upper side then Tata motors will too. But more chances are that it will go down from here and so will Nifty Shortby swarajhanspalUpdated 664
Potential breakout in Tata motor in the upcoming month Avwap pinch from major swing low and highs with an consolidation of 18 months. @Brain Shanon Longby nitinbhardwaj3411
Cash flow vibrationsIn the previous post we started to analyze the Cash flow statement. From it, we learned about the existence of three cash flows - operating cash flow, financial cash flow, and investment cash flow. Like three rivers, they fill the company's "lake of cash" (that is, they go with a "+" sign). However, there are three other rivers that flow out of our lake, preventing it from expanding indefinitely. What are their names? They have absolutely identical names: operating cash flow, financial cash flow, and investment cash flow (and they go with a "-" sign). Why so? Because all of the company's outgoing payments can also be divided into these three rivers: Operating payments include the purchase of raw materials, the payment of wages - everything related to the production and support of the product. Financial payments include repayment of debt and interest on it, payment of dividends, or buyback of shares from shareholders. Investment payments include the purchase of non-current assets (say, the purchase of additional buildings or shares in another company). If the inflows from the three rivers on the left are greater than the outflows into the rivers on the right, then our lake will increase in volume, meaning that the company's cash balances will grow. If the outflows into the three rivers on the right are greater than the inflows from the rivers on the left, the lake will become shallow and eventually dry up. So, the cash flow statement shows how much our lake has increased or decreased over the period (quarter or year). This report can be presented as four entries: Each value of A, B, and C is the difference between what came into our lake from the river and what flowed out of the lake by the river of the same name. That is, the value can be either positive or negative. How can we interpret the meanings of the different flows? Let's break down each of them. Operating cash flow . In a fundamentally strong company, it is the most stable and powerful river. The implication is that it should be the main source of "water" for our lake. Negative operating cash flow is an indicator of serious problems with the business because it means it is not generating money. Investment cash flow . This is the most unpredictable river, as sometimes it can be very powerful and sometimes it can flow like a thin trickle. This is due to the fact that the purchase or sale of non-current assets (recall that these may be buildings, equipment, shares in other companies) does not occur as regularly as operational activities. A sudden negative investment flow tells us about some big purchase. Shareholders do not always view such events positively, as they may consider it an unwise expenditure or a threat to dividend payments. Therefore, they may start to sell their shares, which causes their price to drop. If a big purchase is perceived as an opportunity to reach the next level and capture more market share, then we may see exactly the opposite effect - an increase in share price. Financial cash flow . A negative value of this cash flow can be seen as a very positive signal because it means that the company is either actively reducing its debt to creditors, or using the money to pay dividends, or spending the money to buy its own stock (*), or maybe all of these together. (*) Here you may ask, why would a company buy its own stock? Management sometimes does this when they are confident in the success of their business and want to support the growth of their stock. The company becomes a major buyer of its own stock for some time so that it begins to grow. The process itself is called share buyback . Positive financial cash flow, on the other hand, signals either an increase in debt or the sale of its own stock. As far as debt is concerned, you can't say that loans are bad for business. But there has to be a measure. But the sale by a company of its own shares is already an alarming signal to the current shareholders. It means that the company doesn't have enough money coming out of operating cash flow. There is another type of cash flow that is not a separate "river," but is used as information about how much cash the company has left to meet its obligations to creditors and shareholders. This is Free cash flow . It is simple to calculate: just subtract one of the components of the investment cash flow from the operating cash flow. This component is called Capital expenditures (often abbreviated as CAPEX). Capital expenditures include outgoing payments that go toward the purchase of non-current assets , such as land, buildings, equipment, etc. (Free cash flow = Operating cash flow - Capital expenditures) Free cash flow can be characterized as the "living" money that a company has created over a period, which can be used to repay loans, pay dividends, and buyback stocks from shareholders. If free cash flow is very weak or even negative, it is a reason for creditors, shareholders and investors to think about how the company is doing business. This concludes my discussion of the cash flow statement topic. Next time, let's talk about the magic ratios that you can get from a company's financial statements. They greatly facilitate the process of fundamental analysis and are widely used by investors around the world. We will talk about the so-called Financial Ratios . See you soon!Educationby Be_Capy227
intraday both side potential avoid first 15min breakout wait for 15 min candle closing targets are marked if the breakout comes after 10:00 am then the probability of winning will be more. follow risk management do your own analysis do workout do meditation start reading booksLongby hunterhunt7774
intradaybreakout and retest enter in bullish candle both side potential follow risk management do your own analysis do workout do meditation start reading booksby hunterhunt7773
Descending triangle breakout in TATAMOTORSTATAMOTORS has broken out of descending triangle. The stock has also completed its retracement move toward the triangle support zone and is slowly inching upward. It is a low risk place to go long for 461/494 as targets. SL below 413 retracement zone.Longby vipulmehta8170
Tata Motors Soemthing cooking UP.Tata Motors shows a clear Impulse Up move followed by corrective pullback in ABC or it could be double ZIGZAG confirmation will be day close above 437 for 3rd Wave starting.Longby churiwalvikram0
TATA MOTORS Weekly Time Frame Analysis Current Formation: Top Declining and flat bottom formation Since TM Trading above the 200EMA and major long term trend line.. can consider it as Bull market phase Normally this kind of formation will breakout in upside..(In case of Bull market scenario). major support - 376 Resistance - 461 reverse possible if it breaks these level Huge momentum can be excepted after this break out MACD in positive territory.. slight weakness in histogramLongby satheeshSelvisubramanian2
Hello Dosto, Giving TATA MOTORS for short term I Will share my setups every SATURDAY And SUNDAY. Last week setups are doing great....... So, in tata motors it is forming a channel and now it is at its support area and from last some days it is howering at the same area. If it crosses 431.5 level one can go LONG for short term my target is the BLUE line (453) Longby krushangPatel1
TATA MOTORS GETTING READY FOR BIG MOVETATA MOTORS is going through symmetric triangle pattern for a longer period of time. Any positive surprise in Annual results may trigger 200-250 point moves. ** Personal opinion. Not a recommendationLongby kohinoorminer11
Triple top on trend linethere is formation of triple top in weekly time frame its bearish sign, it can come down 415 for 1st target and 2nd is 375 is big target Shortby Market_ViVs1
Triangle patternStock has been broken out of HT trendline should be making upmove as expected. If triangle pattern broken with good volume we can expect a good move on higher side. Educational purpose onlyLongby WickiddUpdated 0
Tata MotorsLooks like Wave 4 Triangle here. Wave 4 retracement is confined around 0.382 retracement. 445-447 is the immediate resistance. 430 is the support. Looks good here for 470-480 as Wave 5 Target. Longby Dev99396
Tata Motors DVR Bullish For This Year.Cup & Handle In Making.....Stock To Watch & Add For This Year.TLongby pgprashantg5110
#Tatamotors cash : looks good above 450.10#Tatamotors cash -Positional call 12. Feb.2023 Looks good above 450.10 Stoploss 437 Target 468-470/484 Cmp 445.85Longby anandnst8
TATA MOTORS 1WEEK... That's a new Bull on Dalaal Street!!TATA MOTORS Feels Like New Bull on Dalaal Street after ADANIs The Stock has been properly respecting Support Trendline and faces proper Rejections from Resistance Trendline The Structure is expanding and currently TATA MOTORS has made clean bull flag pattern. Entry can taken at CMP of ₹445 with SL of ₹375 and can hold it for long term with Final Profit booking target of ₹1000 Disclaimer : I am not a SEBI registered Analyst so please do your own Analysis before taking any action. The above view is shared just for educational purpose. By no means shall be responsible for any losses amounting out of it incase if any trades on it. It is just a view, please trade at your own risk.Longby bullseyetrading_lko1