buy at cmp SL 10 target 18 and 19.50 Disc : It's not an investment advise to buy or sell
Sell on rise around 23950-23930 stop loss 24050 target 23350 and 22900. Disc : I have position in Banknifty. Please do your research before taking any trade.
Infy has made a FC bar on day before yesterday which will be confirmed by Monday's candle if it doesn't break FC 's high. Black line shows the slope of trend which was verified to the past support and resistance. FC bar shows the short squeeze (SLBM ) has happened along with equity transferred from strong hands to weak hands at higher level. Consider the closing...
Markings are done on chart. HUL looks short @2355-2366 with SL above 2385 for target of 2282-2272.
Stock took support from 21 day EMA but volume on daily chart is still below average. My EWT counts still valid till the time RIL is trading below 1978. If it breaks 1978 and close above 1950 then I will change view to bullish for 2180-2220, considering volume expansion. Yesterday's, last 2 hours have witnessed some good volume but I am still unsure about the...
IOC has breached falling trendline after positive RSI divergence . At the same time RSC is trending up with cross over. Buy can be done at 85 and 83 with stop loss below 81 for target of 93-97
Buy at 1385 and 1370 SL 1330 TGT 1650
My calculation says that bullish momentum in BajFin is still not over and it can stretch to 4075, provided the current top is not the end of larger wave 5. I think we are still in wave 5 and correction is due for 3045 in coming session where buying should start with stop loss below 2800 for target of 4075. If present wave is the end of large wave 5 then this view...
350-354 is probable supply zone and 326-322 is probable demand zone. Sell on rise around 350-354 with sl of 359 target 326-322. If it falls first then buy around 326 and 322 with sl of 318 for target of 358.
Sell on rise at 22400 & 22600 stop loss 22950 target 21400-21100
Sell on rise at 1910 & 1930 stop loss 1970 (daily close) target 1730 -1580