VEDL is currently trading at ₹520, slightly above its multi-year breakout level of ₹495. This presents a strong investment opportunity with the potential to deliver a remarkable return on investment (ROI) of up to 5X from the current price. Investors may consider accumulating the stock with a long-term target range of ₹2,000 to ₹2,500, reflecting substantial...
Indigo Cmp 2670 Tgt 3075 Sl 2550 Chart Pattern Pennant Breakout
Buy ANDHRAPET (Andhra Petrochemical ) CMP 120 TGT 140, 167, 190, 210, 240+ SL 90 Risk Reward (RR) - 1:4.2 Potential Returns : 100% Potential Loss: 24% Time Frame: 12-24 Months
Buy GPIL ( Godawari Power ) CMP 483 TGT 514, 550, 580, 660, 700+ SL 240 Risk Reward (RR) - 1:4 Potential Returns : 45% Potential Loss: 12% Time Frame: 6-12 Months
Buy MHRIL (Mahindra Holidays) CMP 269 TGT 278, 300, 330, 370 SL 240 Risk Reward (RR) - 1:4 Potential Returns : 40% Potential Loss: 10% Time Frame: 6 Months
Buy Reliance Ind CMP 2634 TGT 2715, 2775, 2835, 2920, 3030 SL 2510 Risk Reward (RR) - 1:3.4 Potential Returns : 16% TF 6 Months
#MADRAS FERTILIZERS CMP 53.50 TGT 59, 63, 66, 71, 76 SL 45.80 Risk Reward (RR) - 1:3.1 Potential Returns : 45% Potential Loss: 14% Time Frame: 6 Months
#RCF (POSITIONAL PICK) CMP 104.10 TGT 114, 127, 144, 192 SL 64.6 Risk Reward (RR) - 1:2.25 Potential Returns : 84% Potential Loss: 37% Time Frame: 6 Months
#MCDOWELL - UNITED SPIRITS (POSITIONAL PICK) CMP 934 TGT 960, 1020, 1080, 1165, 1270 SL 800 Risk Reward (RR) - 1:2.55 Potential Returns : 37% Potential Loss: 14.5% Time Frame: 6 Months
SHARDA CORPCHEM CMP 630 TGT 950+ SL 540 Risk Reward (RR) - 1:3.7 Potential Returns : 51% Potential Loss: 14% Time Frame: 4 to 6 Months
BAJAJ FINSERVE CMP 17077 TGT 19000+ SL 16350 Risk Reward (RR) - 1:2.8 Potential Returns : 11.5% Potential Loss: 4% Time Frame: 1 to 2 Months Chat Link :
DIVIS LAB CMP 4530 TGT 4960+ SL 4365 Risk Reward (RR) - 1:2.6 Potential Returns : 10% Potential Loss: 3.6% Time Frame: 1 to 2 Months
ITC CMP 257 TGT 500+ TF 1-2 Years SL 195 Pennant Pattern formation with BO on monthly chart0
EICHER MOTORS CMP 2380 TGT 2615+ SL 2305 Risk Reward (RR) - 1:3 Potential Returns : 10% Potential Loss: 3% Time Frame: 1 to 2 Months
AXIS BANK CMP 735 TGT 815+ SL 705 Risk Reward (RR) - 1:3 Potential Returns : 11.5% Potential Loss: 4% Time Frame: 1 to 2 Months
#GRAPHITE (POSITIONAL PICK) CMP 534.75 TGT 620,690,760,860,990 SL 390 Risk Reward (RR) - 1:3.23 Potential Returns : 85% Potential Loss: 26% Time Frame: 6 to 12 Months
Nifty 50 lookahead with sectoral indices. Nifty seem to be strongly bullish with similar signal from other sectoral indices including small and mid caps
#PI INDISTRIES (POSITIONAL PICK) CMP 2800 TGT 3000, 3425,3760,4100, 4580,5200 SL 2250 Risk Reward (RR) - 1:4.2 Potential Returns : 84% Potential Loss: 20% Time Frame: 1 to 2 Years