HBL Power. Channel breakout, consolidating around support level ...good volume happing from last few month. CMP:97 sl:77(wcb) Target:115/150/185
IDFC LTD .. Breakout coming soon.. keep on your radar. If stock close above 70-75 in next 2 week..then 115-120 level possible in short term around 60% gain
Sml Isuzu. Fundamental are not so great..but from last 2 quarters some improvement is happening and same has been reflecting in chart too. CMP:811 sl:700(wcb) Target: 950/1150/1400..risky bet
Astra microwave. CMP:307 sl:275(wcb) Target: 360/410/490
S P Apparels. After correction, poll & flag formation made, this week breakout happing. CMP: 449 sl:410(wcb) Target: 530/650/800
Granules india.poll & flag pattern breakout.cmp:345 sl:300(wcb) Target:390/430/560
Rites Ltd. Strong PSU fundamental company, debt free company.pay divided yeild @5%+ company top line & bottom line is growth with 15% CAGR on 5yrs. Long term channel breakout on chart..CMP:324 sl:280(wcb) Target:410/550. Since market short view is negative and market is very volatile kindly do follow property position sizing as per your risk.
Khadim india.. after Liberty..looks like khadim is also in the race ... CMP: 314...above 350 stock can blast to reach 500 level as fast as possible. Above 500 big price zone is available to move
Federal mogul. AUTO ANCILLARY COMPANY. Look like downside trend is over in the stock. After base formation stock is ready to start upward move. I feel stock will complete its rounding bottom formation in coming year. CMP: 326. There is 2 stoploss short-term and long-term. For short term stop loss is 280(wcb) and for long term: 255(wcb). Target: 400/460/600/650......
Mahindra logistics. CMP:552 sl: 465(wcb) target: 625/725/820. after base formation done....now look like ready to start fresh move
Kirloskar industries. Multiple pattern breakout on chart. H&S, Flag pattern, and ATH resistance. Fundamentally strong company. Net debt free, stock trading at 0.73 of book value. On 5yr CAGR top line & bottom line growth is 20%+. CMP:1744 sl: 1200(wcb) stop less is little dip. Target: 1975/2420/3200. Add more qty on dip. For short term keep stop loss at 1450(wcb)
Visaka ind. Perfect cup & handle breakout. CMP:646 sl: 550(wcb). Target: 710/775/850... Long term: stop loss 500(wcb) Target:1100/1500
Union Bank. Revenue increase from 16k.cr to 69k.cr in last 10yrs, Net profit 2.2k.cr to 5.7k.cr ... Revenue & profit highest ever in last 10yr. Net NPA after merger of Andhra Bank & corporation Bank is around 3%. Stock is trading at 0.45 of book value. Bank divided yield around 5%...all things are good on paper. This is just like bottom fishing 🎣. It might take...
Valiant organic. Counter trade. Company whose top line & bottom line is growing at 40% at 10yr CAGR , Net debt free company. from last few month good volume is getting accumulated at lower prices. Now in chart you can see last bottom was made above the previous bottom. That is a sign of reversal. CMP:783. Sl:575(wcb)..stop loss is little deep..you can keep as per...
Borosil Ltd. H&S pattern breakout CMP:369 sl:320(wcb) Target:410/450/500.. long term Target: 650
Bannari Amman sugar. CMP: 2958 sl: 2550(wcb) target:3400/3850/4350.
Bharat gear CMP:245. Buy some Qty at CMP and add more if you get around 220 level. Sl:190(wcb) target: 300/360/410. Good volume buying in last few week.
Strong fundamental & under valued stock.can give good return. Sl:2650