short only below 12150!! target: 12100/12075 csl:12190
buy with csl:78 target:82.5/85/90 it has already broken downward sloping channel on hourly chart so as ready for now also@
Buy Target:470/488/500 csl:458 one may adopt following strategy; Buy 1 lot future@466.45 Sell 1 lot 500CE@8.25 BREAKEVENS: 458.5(WHICH IS YOUR SL) Target profit: around 15k-18k per lot Max profit: 42k if expiry above 500 Target price:495-500 Required margin: 1.25L close your strategy near 495-500!!
buy above 500 if it sustain for 2 days traget: 520/535 csl:485
short near 723-725 Csl:729 target:717/708/700 short below 717 csl:725 target:708/700
Buy Between 3315-3320 Target:3350/3375/3390 csl:3285
still no weak sign on weekly chart!! trade with strict SL BUY SL:12200 TARGET:12350/12450 SELL SL:12350 TARGET:12200/12150
BUY WITH CSL:255 TARGET:267/275 RISK TO REWARD 1:2
it has good support @450 one may long between 453-454 with sl:450 target:460/465/470 highest OI@ 460 PUT
Everything is in chart!! my target would be near 490-495 zone!! time frame 2-3 month!!
it is reached near at channel high!!! wait for 430-450 again!!
must close above 1200 to resume uptrend! >>only concern the way MACD crossing below zero line after Jun 2016!!! >> my view still intact until it close below 1180 on weekly basis!!
short with strict sl:11080 target:10950/10900/10850
BUY ABOVE 2760-2770 TARGET: 3000/3050 CSL:2650
buy with csl :6150 target:6400/6500 only concern is that every body is seeing that pattern. hope it will not become crowded trade!!!
SHORT WITH CSL:10800 TARGET:10400/10000