Reason for long a) Bull call spread b) Good risk reward zone c) volume accumulation d) sectorial support e) Nifty support
Reason for short a) Monthly breakdown b) Good risk reward zone c) volume spurt d) QQE support for short If Nifty trads below Previous day low, then short will be activated
Reason for short a) Monthly breakdown b) Good risk reward zone c) volume spurt d) QQE support for short If Nifty trads below Previous day low, then short will be activated
Reason for long a) Triangle breakout b) Pole and flag set up c) Super vwap set up d) channel support e) SL compulsory
Reason for long a) Triangle breakout b) Mr.14 set up c) Super vwap set up d) channel support e) SL compulsory
Reason for long a) FII recent increased the stake b) Super vwap breakout c) debt free org d) profit making organization e) good valuation f) SL compulsory
Reason for long a) Trendline breakout b) Weekly breakout c) QQE support d) good volume e) Entry at 2.20 and SL 0.8. High risky and Hence SL compulsory
Reason for long a) Pole and flag breakout b) Weekly breakout c) QQE breakout d) monthly breakout e) Volume spurt f) SL compulsory Duration: 1 month
Reason for long a) Triangle breakout b) Weekly breakout c) QQE support d) SL compulsory e)vwap breakout
Reason for long a) Range breakout b) open = Low set up c) super vwap breakout with volume d) SL compulsory for 3 days only
Reason for long a) trading in equity and options are different entries b) entry only above PDH for equity c) Triangle breakout d) QQE support e) SL compulsory f) Trendline breakout
Reason for long a) Price trading above PDH b) Vwap breakout c) Triangle breakout d) QQE support e) trendline breakout Entry strategy: 22 nd Apr 10750 CE long 1X(1 Lot long) 22 nd Apr 10775 CE Short 2X( 2 Lots short) 22 nd Apr 10800 CE Long 1X( 1 lot long) Risk : 150. whever, profit appears above 170, Square off half lot and leave the rest till 3.00 PM...
Reason for long a) Triangle breakout possibility b) Vwap breakout c) QQE Super breakout possibility d) channel breakout possibility e) Entry and exit as indicated in chart f) SL compulsory g) Position sizing not more than 0.5% of total capital
Reason for long a) Trendline breakout b) QQE divergence for long c) QQE long signal after failing twice. It means the 3rd time has some good probability for upside. d) SL compulsory
Reason for long a) Weekly breakout b) volume spike c) Super vwap breakout d) QQE breakout with volume e) Monthly breakout f) SL compulsory
Reason for long a) Weekly breakout b) QQE support c) Super vwap support d) SL compulsory e) Duration of holding: 50 days
Reason for long a) Consolidation breakout b) QQE long c) Vwap breakout d) Purely technicals e) Volume accumulation f) SL compulsory g) Weekly breakout
Reason for long a) HSP Set up b) Vwap breakout c) Weekly breakout d) Monthly breakout e) QQE support f) SL compulsory