USD/INR, EUR/USD, GBP/USD, USD/JPY, USD/CNY, DXY
RELIANCE COMM LTD, RELIANCE POWER, BHARAT HEAVY ELECT, PUNJAB NATL BANK, SUZLON ENERGY LTD, RELIANCE COMMUNICATIONS LTD.
Nifty, BSE SENSEX, S&P 500, Nasdaq Composite, FTSE 100, DAX Index
Gold, Silver, Crude Oil, Brent Oil, Natural Gas, Bitcoin
BTC/USD, XRP/USD, ETH/USD, BCH/USD, EOS/USD, LTC/USD
US 10Y, Euro Bund, Germany 10Y, Japan 10Y Yield, UK 10Y, India 10Y
Gold, Brent Oil, Crude Oil, CFDs on Natural Gas, Palladium, Silver
Watch for lvl as it will be fast one.
Good fundamental company.
wait for some pullback. some chance of pullback before moving ahead.
at multiple support, not showing weekness after multiple bad news. Buy at cmp sl 10750 . Better risk reward ratio. above 11000 new high.
High Chances of breakout.
expect bounce quick one in coming days
All Metal sector showing strength in chart.
More downside for maruti on comming days.
Just Take it with care as nifty is buy on dipps mode, its a healthy correction for time being.
Go for put writing if know the option for better result.
if it maintain hourly above 335 then we can see large move in it for 370-390 level. Breaking the downtrend cycle. So a better share for investment . maintain a SL of 320 hourly closing basis.
Holding period is one week. time decay will save u/us.
Buy range 27150-27200 with sl 27000. If any one trade writing option then better trade with 27400 PE sell. Market in uptrend so time decay will give you full support.
Book partial profit as its short time fall.
Buy but risky , play with hedge or short 26500 call here.
Hope it will give good profit. Short term trend call.
Buy range 7710-7720 SL 7700 closing basis.
SL 27900 closing basis.