#TRENT (POSITIONAL PICK) CMP 1265 TGT 1300,1400,1500,1630,1800 SL 10803.6 Risk Reward (RR) - 1:3 Potential Returns : 45% Potential Loss: 14.5% Time Frame: 3 to 6 Months
#TITAN (POSITIONAL PICK) CMP 2700 TGT 2800, 2950, 3110,3330,3600 SL 2440 Risk Reward (RR) - 1:3.6 Potential Returns : 35% Potential Loss: 9.5% Time Frame: 3 to 6 Months
#MGL (POSITIONAL PICK) CMP 778 TGT 825,915,985,1060,1160 SL 650 Risk Reward (RR) - 1:3.3 Potential Returns :54% Potential Loss: 16% Time Frame: 6 to 12 Months
CMP 557 TGT 750+ SL 500 Risk Reward (RR) - 1:4 Potential Returns :40% Potential Loss: 10%
#PIDILITE (POSITIONAL PICK) CMP 2390 TGT 2510, 2750, 2950, 3125, 3400, 3740 SL 2025 Risk Reward (RR) - 1:3.7 Potential Returns :56% Potential Loss: 15% Time Frame: Till Feb 2023
Nifty look ahead analysis which explains the viewers about possibility of market movement in next week
#IEX (POSITIONAL PICK) CMP 227.35 TGT 243, 271, 294, 316, 348, 383 SL 184 Risk Reward (RR) - 1:3.64 Potential Returns : 69% Potential Loss: 19% Time Frame: 1 Year
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Inverted Head and Shoulder Formation on 15 Mins of NIfty, If 17450 is broken the upward potential is up to 17900...
AMBICA COTTON MILL (SHORT TERM) CMP: 2764 TGT: 2900, 3230 SL: 2625 Risk Reward (RR): 1:4 Potential Returns : 18% Potential Loss: 4% Time Frame: 1-2 Months
TORRENT POWER (LONG TERM) CMP: 580 TGT: 595, 640, 680, 715, 768, 835 SL: 510 Risk Reward (RR): 1:3.7 Potential Returns : 44% Potential Loss: 12% Time Frame: 6-12 Months
Start Accumulating Tata Power (LONG TERM - BEST BET) CMP 254 (Latest) TGT 256, 295, 320, 350, 390, 440 (Revised) SL 190 (Revised) Risk Reward (RR) - 1: 3 (Excellent) Potential Returns :74% Potential Loss: 25% Time Frame: 1-2 Years
BIRLA SOFT CEMENT (SHORT TERM) CMP: 467 TGT: 505, 527, 550, 580 SL: 425 Risk Reward (RR): 1:3 Potential Returns : 25% Potential Loss: 8.5% Time Frame: 1-2 Months
ORIENT CEMENT (LONG TERM) CMP: 170 TGT: 185, 206, 225, 240, 265, 300 SL: 140 Risk Reward (RR): 1:4 Potential Returns : 74% Potential Loss: 17.5% Time Frame: 1-2 Years
BEL (LONG TERM) CMP: 205 TGT: 224, 250, 270, 290, 320, 355 SL: 175 Risk Reward (RR): 1:5.17 Potential Returns : 74% Potential Loss: 14% Time Frame: 1-2 Years
TRIDENT CMP: 62.30, TGT: 77 SL: 57.5 Risk Reward (RR): 1:3.2 Potential Returns : 24% Potential Loss: 7.5% Time Frame: 4-8 Weeks
PI INDUSTRIES (Turnaround) CMP: 2553, TGT: 2585, 2650, 2740, 3000 SL: 2420 Risk Reward (RR): 1:3.25 Potential Returns : 17% Potential Loss: 5% Time Frame: 4-8 Weeks