Entered on 27 Jul 18 on 530.90 with a stop loss at 515.15 TSL update on 6 Aug 18 from 515.15 to 529.40 TSL update on 9 Aug 18 from 515.15 to 549.60 TSL update on 14 Aug 18 from 549.60 to 573.45 TSL update on 17 Aug 18 from 573.45 to 589.15 Current Trailing Stop loss = 589.15 In case of hitting stop loss confirmed profit of 58.25 points.
Entered on 17 Jul 18 on 20199 with a stop loss at 19546.15 TSL update on 24Jul 18 from 19546.15 to 22653.80 TSL update on 03 Aug 18 from 22653.80 to 23220 TSL update on 09 Aug 18 from 23220 to 23602 TSL update on 17 Aug 18 from 23602 to 24713 Current Trailing Stop loss = 24713 In case of hitting stop loss confirmed profit of 4514 points.
Entered on 10 Aug 18 on 27800 with a stop loss at 27200 TSL update on 16 Aug 18 from 27200 to 28230 Current Trailing Stop loss = 28230 In case of hitting stop loss confirmed profit of 430 points.
Entered on 20 Jul 18 on 6430 with a stop loss at 6120.45 TSL update on 1 Aug 18 from 6120.45 to 6861.05 TSL update on 16 Jul 18 from 6861.05 to 6928.80 Current Trailing Stop loss = 6928.80 In case of hitting stop loss confirmed profit of 498.8 points.
The stock falls back to the fib zone of 78% from the supply zone forming a higher low.
Buy - 350 - 352 CBSL - 333 Target - 372
20EMA stock personality Buy - 480 CBSL - 450 Target - 520
Long on a wedge breakout or around 78-80 levels where the demand zones would be in control.
A safer trade would be to long above 6580 - 6600 leading to a channel breakout. If it comes down around 6300 which acts as a channel support and indicates any bullish setup, we will long for an initial target of 6600.