Stage 2 breakout 30week sma and Pyramiding opportunity step by step Observe RSI range in stage 1 and stage 2 Education purpose
Bearish Engulfing on monthly timeframe in NIFTY 14700-13500 levels are Major Monthly Demand 16000- distal line for Monthly Supply Zone Disclaimer: I'm not a Sebi registered analyst, so consider this analysis as my personal opinion. Not an investment advice. Analyse and take your own logical decision.
Sample Trade How to use tight stoploss Disclaimer: For educational purpose only
Confluence of High Low Anchored VWAPs both Short and Long term is a strong entry point with high risk to reward opportunity Disclaimer: For educational purpose only
Confluence or Contraction of both High and Low Anchored VWAP appears to be a strong entry point Confirm with Price Action and Volume analysis Disclaimer: For Educational purpose only
FTR levels are important Also Quasimodo Pattern at the top indicating reversal Disclaimer: For educational purpose only
Price volume analysis Disclaimer For educational purpose only
Volume profile analysis with volumes and price action Disclaimer : For educational purpose only This analysis is for my future reference as I'm learning this myself
hm Volume profile makes it clear why Raitel fell back to its listing day price level... My previous analysis went wrong coz I didn't apply Volume profile analysis then. disclaimer: For educational purpose only
Combining visible and fixed Volume profile with normal volume indicator and price action for better entries and stoploss Disclaimer: For educational purpose only
Is Covid really the reason for market fall in 2020 or it's just a trigger for the inevitable to happen because of poor performance of markets even before that??? A comparison between sector indices Disclaimer: For Educational purpose only
Is Covid really the reason for market fall in 2020 or it's just a trigger for the inevitable to happen because of poor performance of markets even before that??? A comparison between sector indices Disclaimer: For Educational purpose only
Assume my Capital 100000 Bought this stock at 869 and my max risk is 1% i.e 1000 rs... Stoploss is 713 rs..subtracting double the ATR value 78×2 = 156 from 869 Position sizing will be Risk/(Buy-Stoploss) or Risk/( 2×ATR) 1000/(869-713) or 1000/(2×78) = 6.4 .... So max position is 6 stocks only ...... A small variation can be made to this so that we can...