Reason for long a) Coincide of Daily and weekly positive RSI b) Weekly breakout c) vwap breakout possibility d) SL compulsory e) Duration : 1 month
Reason for long a) Triangle breakout b) Qtly results are good c) Consolidation breakout d) Weekly and monthly breakout e) Volume spurt f) SL compulsory g) Bullish kicker set up h) Duration : 2 months
Reason for long a) Pullback set up b) Trendline breakout c) pull back volume is low d) Good risk reward zone e) SL compulsory g) Duration : 1 month
Trade Thesis 1) Triangle breakout b) W formation in development c) Open = Low Set up, if intraday low not touched d) Weekly breakout e) Fundas are affordable g) Pre result rally expected h) POC breakout i) Duration : 1 month j) Vix is red and red is bullish k) Position sizing: 1 % of total capital j) SL compulsory
Reason for long a) Trendline breakout b) W formation c) Triangle breakout d) Weekly breakout e) SL compulsory g) Good risk reward zone h) Duration: 1 month
Reason for long a) Reasonable valuation b) Long above today high c) Trendline breakout possibility only, if price crosses above 77 and in watchlist for long d) Triangle breakout possibility e) market is in down trend entry only above level or skip the trade
Reason for long a) Weekly Mr.14 Set up b) Long above weekly high after first 15 min close c) Triangle breakout d) It index support e) SL compulsory Duration : 1 month
Reason for long a) triangle breakout b) Weekly breakout c) HSP breakout d) Volume spurt e) POC breakout f) SL compulsory Entry above first 15 min breakout above 22.60
Reason for long a) Long above weekly high b) Trendline breakout possible c) All index and stock are down, but infy showing strength. hence long d) Long above this week high only e) SL compulsory
Reason for long a) Triangle breakout b) W formation c) open = Low set up d) Weekly breakout e) monthly breakout possible f) SL compulsory g) Duration : 1 month
Reason for long a) Consolidation breakout b) Weekly breakout c) open = low set up d) channel support e) SL compulsory f) Duration : 1 month
Reason for long a) Triangle breakout b) W formation c) POC breakout d) Short covering possible e) Consolidation breakout possible f) Duration : 1 month g) HSP failure set up possible
Reason for long a) 3 year breakout b) monthly breakout c) Earning 3 year high d) W formation f) Triangle breakout f) SL compulsory g) Duration: 1 year
Trade thesis a) Triangle breakout b) Weekly breakout c) POC breakout d) Open = Low set up e) Consolidation breakout f) SL compulsory g) Fundas not great,but expensive Duration: 1 month
Reason for long a) Consolidation breakout b) Weekly breakout c) Vwap breakout d) Monthly breakout e) probability of pre result rally f) SL compulsory g) One month only Duration.
Reason for long a) Results are good, but not great b) Trendline breakout c) Weekly breakout d) Good risk reward zone e) SL compulsory f) POC breakout possible
Reason for short a) HSP breakout b) monthly breakdown c) Channel breakdown possibility d) vix increase possibility d) Heavy short near 25000 e) SL compulsory Possibility of 3 month correction and may hit 22600 in next 2 months
Reason for long a) Trendline breakout b) Support level at 1300 c) Nomura new entry at 1310 Sep 2024 d) Affordable valuation e) SL Compulsory