Nifty setting for three drive bullish pattern. Low risk buy with stop cash 10058. Target 10400/100600/10800 by month of May
10155/10455 FUTURE AND THEN WITH REGULAR REVIEW AND PREVIEW REQUIRED
IDEAL TO BUY FOR LOW RISK BUYER
ON A DAILY BASIS PATTERN IS STRONG ; RISK REWARD RATIO IS HIGHLY FAVORABLE. A TRADER WITH LOW RISK PROFILE CAN ALSO ACT
Nifty is sell with stop 8400 cash target 8282 cash first. optimist below 8000
nice one to get into in range of 7900/8000 stop 7800 cash
BUY WITH STOP 351 TARGET 400/420 IN A TEN TO FIFTEEN DAYS
with stop 1400 closing basis it is buy. Major event SUUTI sell done
Nifty provides good buy opportunity with stop 8400 cash closing basis. 8600/8800 possible
based on given pattern silver is positional long with stop below 17
based on pattern on daily chart it is clear buy with stop 248 for the target 300 in next one to three months time frame. cmp 254
based on pattern and trendline support on monthly time frame reliance is set for investment buy with stop 940 cmp 1078 target 1500+ in next six to twelve month time frame
rounding top formation assumed to be over with X as 1250. rational buy
clear breakdown from 8730. cmp 8690 it is sell with target 8640/8540
cairn is getting multiple support from company specific as well as industry specific good news as crude is on boiling.setting for good investment bet cmp 203 risk reward seems 1:4 easily