It can give decent growth. Small exposure to portfolio is good, not any major swing expected BUY ABOVE 1835 STOPLOSS AT 1655 TARGET FOR 2005
Auto Sector is most talked sector. Sales will pick up sooner or later. The Spring of pressed sales will bounce. BUY ABOVE 4050 STOPLOSS AT 4650 TARGET FOR 3550
Heathcare is history, don't see any good hike now. SELL BELOW 4050 STOPLOSS AT 4650 TARGET FOR 3550
After COVID wave blurring, the healthcare sector is surely down on its business SELL BELOW 3700 STOPLOSS AT 4300 TARGET FOR 3000
Coal india has sure underperformed for long time. This high dividend stock has now heating up with volume. BUY ABOVE 185 STOPLOSS AT 145 TARGET FOR 235
Pharma as sector is hot sector of year. COVID variants disturbs market sentiments but that somewhere works for pharma stocks BUY ABOVE 950 STOPLOSS AT 900 TARGET FOR 1050
FMCG is slow moving sector. Investment in this sector won't make you go rich but won't make you go begger. BUY ABOVE 3750 STOPLOSS AT 3450 TARGET FOR 4300
Company is about to set up EV CHARGING stations. But stock only because it's PUBLIC SECTOR, stock is undermined. We will go with the flow SELL BELOW 355 STOPLOSS AT 410 TARGET FOR 305
Google is investing in this stock. Good market sentiments followed by price action setup BUY ABOVE 755 STOPLOSS AT 675 TARGET FOR 845
Stock looks very weak. Do no catch falling knife SELL BELOW 6550 STOPLOSS AT 7500 TARGET AT 5500
After stock got out of SENSEX 60, This stock has taken lot of hit. Moving above trendline will make this AUTO stock boom. Sector is already most promising with ELECTRIC VEHICLE hype. Stock is bouncing from its support with Volume. BUY ABOVE 3850 STOPLOSS AT 3450 TARGET FOR 4750
This stock will fall with volume below 200 moving average on daily time frame SELL BELOW 15000 STOPLOSS AT 1600 TARGET FOR 13000
There is a good possible idea of buying AXIS BANK. Strong bank and strong fundamental. Break from Resistance with HIGH volume will make stock reach target value soon. BUY ABOVE 830 STOPLOSS AT 700 TARGET FOR 1100
There is good volume justification in this stock to go down. Along with NIFTY CONSUMPTION sector, It won't be able to sustain this level sooner or later. BREAK DOWN from 200 Moving Average on Daily Time frame makes stock very weak. SELL BELOW 3000/2950 STOPLOSS AT 3200/3300 TARGET FOR 2700-2600
We might see break out of triangle pattern. Stock looks weak. Index is overall Weak. All moving average have come together making convergence of strong Resistance. There is no volume that can justify the bounce from trendline. SELL below 700/680 STOPLOSS at 725/745 TARGET for 600/550
At larger picture, we are bullish on NIFTY. On short term, we expect correction. Market moves in wave pattern. There is some Buying and then Profit Booking and then buying from lower level and the so on.... In this case, we have seen profit booking at lower level after it crossed trend-line and then there was buying at lower level but now market is...
Market is ranging from 18125 to 18290 since 4 days. we might see breakout on any side. We might expect a healthy profit booking after bull run. Any breakout on upside is not convincing as long as it comes after good correction.