Titan trading in range and seems to be breakout soon on down side. Sell Below- 918 Target - 870 SL - 940
Short reliance for intraday or 2-3 days of position. Sell below 1420 with SL of 1450 Target- 1395, 1350 Reason:- Decrease in volume and decrease in price along with bolinger bands shrinking and huge resistance is being face in 1500-1420 zones.
Would buy above 160.5, SL-156.5, Target 165.5 In case if 156.5 triggers first i would go short with Stop Loss-160.5, Target Around- 150
BULHSFIN Trade Idea - India bulls housing finance A breakout soon on either side Buy Side Position- Above - 120 SL- 116 T-128 Buy Side Position- Below - 116 SL- 120 T- 108
As its a ascending triangle so suggesting to go long Above 375, SL-370, Target-385 At the same time if it triggers 370 first I would go short with SL-375, Target-360
Targets are aggressive around 18-20% around 1550 and 1560. Would buy till 1200 with SL of 1150 on closing basis. View will be changed to bearish once closes below 1150 on daily basis.
IOC looks weak Short at CMP till 82.5. SL- 85 T- 77
Trading in Symmetrical triangle pattern, Seems to be breakdown soon. Sell SBI below 178 SL- 190 T- 160
Short -SRTRANSFIN below 937 with SL of 980 and target around 880
I would go long above 2550 with SL of 2450 at initial stage and will keep trailing with every 50-100 points run with the target of 2900
Sell below 4970 for 4400, SL-5100 Buy above 5100 for 5600, SL 4970 Looking at MACD seems it would bearish for short term.
Once we have channel breakout then we will have good move in Nifty. Buy above 9300 for 10000, SL-9400 Sell below 9000 for 8700, SL-9100 Looking at MACD seems that sell may get triggered.
Short at CMP or any bounce till 4050 with SL of 4100 Negative divergence can been on charts. My target is around 3850
Seems to be breakdown in TVS Motors. Sell TVS Motor below 297 for Targets around 277 with SL of 307.