Stock is trading above key resistance level. Past week it has moved significantly upside. Up moves have been backed by volume. It can be a long candidate with RISK and REWARD ratio of 1:2.70
Stock is trading above key resistance level 487. It is a very good long candidate with STOP LOSS of 480 and TARGET 547. Risk reward ratio at current market price 493.50 will be 1:4.
Trading at all time high. CMP is 3576.30. Made a new all time high which is backed by good volume. It is a long candidate with STOP LOSS 3496 and TARGET 3750. Risk Reward ratio from current level is 1:2.16
Break out on 4th January from immediate resistance 128.60 with good volume. Now 128.60 level is acting as support. Expecting target of 138. Also trading above 21 day EMA. Risk Reward ratio from current level is 1:2.38