Reason for long play a) vwap support b) channel breakout and ready for upswing c) volume accumulation zone consolidation zone
Reason for long a) Support play b) vwap support play c) sector also reversing... hence it may be a good time for investing for short term d) not more than 1% of total investment
Reason for long a) ADX buy signal plus Haiken Anashi candle buy signal b) channel breakout ... buy signal c) It is good sell bull call spread.
Reason for long a) Triangle breakout failure for upside.... Usually in down trend triangle breakout to be for down side, but as the market is up, trading for triangle breakout upside make some logical support from nifty. b) 2% upside potential possible in intraday with strict SL at 6687. Any reversal at 6666 level and confirmation by pin bar is also a logical...
Long possibility for reason a) Last week expiry is doji indicating the higher time frame formation at monthly candle also doji (This is only probability) b) reason for doji is most of the internal daily candles are consolidation mode and hence this month candle also has chance of formation doji. c) 28Aprl expiry expecting to close at 17500 and may be because of...
Market makes others highly emotional and highly irrational. Spiral down is the nature of wave C. 1.Vix rises 20%, there may be a cool down period of one day or continuation. 2. Gaps are characteristics of wave 3. 3.18000 ce short of march month with 18500 ce long with 2K profit and 2k loss in next one week. 4. Reason for bearish call verticals are a) vix is high...
Reason for short a) bearish bat formation b) Open interest (OI) indicating strong resistance at 18000 for this week. Hence it may be a good idea to short the ce at 18000 at 10 to 20 premium levels or to short 18000 of next week expiry at 40 to 57 premium levels. Any gap up may be rise on sell market. c) support at 17527 levels forms the support
Reason for long a) Gartley harmonic pattern b) vwap support at 115 c)fibo level support Sl compulsory If Sl hit.. next level of support at 86...
Reason for long a) Bamm set up b) Volume spurt c) RSI above 57.1
Reason for short a) vwap resistance, there are several vwap for resistance. 17300 is good short at 17 to 20, if get b) 16800 is support, if it breaks, then 16500 is next support. possible expiry may be at 17200 or 17000 or 16800
Reason for long a) Near all time high breakout b) price and volume spurt
Reason for long a) bat action magnetic move set up b) volume burst possibility
Reason for long a) Bat action magnetic move set up b) volume spurt possibility
Reason for long a) Bullish Gartley set up b) Major challenge is major sectors are down and volume bar is also showing negative. Chance of failure of this set up is high. So low qty induces the no emotions to cut the loss at SL.
Reason for long a) channel breakout and in pull back phase b) volume spurt c) bear candles looks weak d) vwap support on both sides.
Reason for short a) Heavy OI build up at 17000 ce b) Any upside break towards 17000 induces to short ce at 17400 at 30 premium with SL of 30 pts or 5 pts premium ce strike long. c)15 min channel breakout and aim hit 16993 point
Reason for short a) vwap breakdown play b) good idea to short monthly ce at 17500 to 1800 with hedge. 17500 ce 20 to 25 is good to short with SL or hedge of 28 apl series.
Reason for long a) vwap support for long b) any gap down is a buy opportunity c) volume spurt across the double bottom for long risk only 0.5% on total capital. Risk is not the capital deployed on particular stock. Risk is entry to SL is to be 0.5% of total capital.