well with lower lows on RSI dabur can be bought with a stoploss of 269 CB. Though I am long in June Futures @ 276 (I know bought it a bit too early) but if tomorrow we get a positive closing Dabur can be bought. Since 15th May there has been an Addition of over 5% in futures everyday except for today it was only 2%. So I think yea small risk big rewards 280-285.
AND ITS A BUY @ CURRENT LEVEL STOPLOSS 277 CB TGT 300+.. ON WEEKLY CHARTS TATAMTRDVR HAS GIVEN A BUY SIGNAL..GET ON BOARD FOR THE RIDE..
As you can see in the hourly charts Infratel is done with consolidation and either today or tomorrow big move should come... I would suggest to go long at a small stoploss of 307 for a target of 320.
Well ACC has again found resistance at the 50HMA (hourly Charts), but this time the fall is going to be severe once ACC breaks 1380 it can go all the way to 1330-1300..but on the weekly charts 200 WMA is @ 1370 so thats the only support but I dont think it will hold.. Stoploss for shorts can be the 50HMA i.e 1404
Axis Bank is now trading in a tight channel in THE HOURLY CHARTS where if it breaks above 516 it can go to wards 520-530 and if it breaks 500 it can go towards 490-480... Tomorrow eve exit polls come out and axis is positioned in a very tempting juncture..
Well Infy has now made a double bottom on the weekly charts with lower lows on RSI and MACD-H. On the daily Chart also it has given a BUllish Divergence. So guys Load Up on Longs ONce 950 crosses 980-1000 will come in no time..I expect good move in Infy tomorrow and the coming week.
Beautiful MACD Histogram divergence taken place...beautifully taken support @ 200DMA.. Risk is 4 points if bought @ 226 and targets are 230-235-240..ENjoy
Its seems like a base has been formed in HUL..Double bottom along with a lower low in RSI and a bullish engulfing candlestick pattern..Stoploss 837 targets 858(first major resistance) second target 869(200 DMA) and above that 880..if results good on 26th it can move up above the 200DMA
Oh my god! TCS has given major bullish signals in MACD and RSI. Please see the Arrows you will get what I am Talking about and TCS is in value Zone. One can buy Nov Futures and stay long for a target of 2450-2500-2520 with a stoploss of 2354 on closing basis. One can accumulate 2450 Nov calls all trading @ cheap rate.. Best of luck
Keeping it very simple for a long time axis held on to a very important support i.e 519.. As they say for chart reading go from left to right. Now Axis faces resistance @ 534 its 11 day EMA if axis opens and stays above it Axis will hit 548 which is its next major resistance i.e its 23 day EMA. Stoploss for this upmove is 525. Best of luck!
As we can see in the Chart Titan has taken support again at a major trend line support and especially on a day when nifty was down .73% and it has formed a DOJI and its now trading in a very tight channel. I might be wrong but now to go long in Titan with a small stoploss of 380 on a closing basis for a target of 390-395-400 within this series.