Bajaj finance to watch at 2900.Stock has performed well in last 18 months when most of stocks were falling to half of their highs. If stock holds above 2900 for few weeks a smaller quantity can be bought with a strict sl at 2800. Below 2800 closing in daily basis is deadly for this stock. A best entry will be close above 3500 on weekly basis.Longby mohitkumar25142
BAJAJ FINANCE 30 MIN WOLFE WAVE CHARTBAJAJ FINANCE 30 MIN WOLFE WAVE CHART BAJAJ FINANCE HAVE SUPPORT CURRENT LOW 3181 IF HOLD WE CAN SEE GOOD MOVE UP SO WE GO WITH TIGHT STOPLOSS FOR THIS TRADE BUY BAJAJ FINANCE AT CURRENT POINT 3199-3200 WITH TIGHT STOPLOSS 3175 TAKE PROFIT 3280-3285 Longby WolfetradesUpdated 1
868 reversal play at 12.15Play reversal only, if short term reversal should be opposite to that of dominant pressure (in this case, short term reversal point should be moderately bullish, Sell point at 12.15 plus or minus 15 minutes, near 0.2% plus or minus of today's opening point. SL compulsory target is today' prior low.Shortby AnnavaiUpdated 3
Bajaj Finance Ltd {NSE : BAJFINANCE}:: Bajaj Finance Ltd :: Recommendation By CKVIEW. Place Order With Given Stop-Loss. Buy Bajaj Finance Ltd - 3360 First Target - 3425 Second Target - 3760 Stop Loss - 3260 Thanking You...Longby CKVIEWUpdated 3
609 SAN. W2 ended, Third test of 3200 is a buy opportunityMostly in breakout mode SL compulsoryLongby WavozenUpdated 0
Bajaj Finance Ltd {NSE : BAJFINANCE}This Chart Showing You The Level Only When A Trade Arising I Will Update You Soon Thanking You...by CKVIEW3
567 SAN. Sharp fall as macro c in progressRun with SL Short zone near 3107 and target 2921 Disclaimer: Please consult with your financial adviser before making any trading or investment decision. Set-up provided here is for informational and educational purposes only. This is not a sell or buy recommendation. We are not responsible for any gain or loss; Consult your financial advisor before your execution of trade. There are heavy chance that most of the presented scripts does not meet set (described) entry conditions, as most of the posted analysis are based on Static ANalysis (SAN). Many times scenarios does not arise for good and ideal entry points. Hence needs personalized intraday techniques and strategies (PITS) are required for your entries and exists Always run with SL. WavoZen aims for microtrading, unless specified. Wavozen1 aims to publish real-time entries and exits. Set-up presented here is for observational purpose only and most of the set-up designed by WavoZen is based on SAN for intraday purpose only to get the basic structure for intra-day short term or ultra-short term purpose only. Most of the set-up is valid for a day or otherwise mentioned. Hence requires your fine tuned personalized intraday techniques and strategies (PITS) based on Real-time Analysis (RT)/ Dynamic ANalysis (DAN) to get benefit from these structures or to have minimum loss, if wrong through your PIT Strategies (your trade plan). Overnight events, Gap-up opening, gap-down opening, news, major economic data release etc may impact the deviation from the assumed scenarios. If entry conditions and criteria are not meet, then we should not take any chance to enter on assumed scenarios. If there is a deviation in assumed scenario in time, speed and angle and these deviations will not encourages for entry as referred as entry not valid (ENV). Daily post appears on stocktwits.WavoZen. Abbreviations: PT1: Profit taking point 1; PT2 =profit taking point 2; SL: Stoploss point. ENT: Entry not Triggered; ENV: Entry not valid. Weekly Review : WR; Shortby WavozenUpdated 0
BAJAJ FINANCEScrip is on a very crucial dynamic support line that has been tested many times. Highly likely to bounce back up from here. BUT IF IT BREAKS and RETESTS THE TREND LINE TO GO BACK DOWN THEN WE ARE SEEING A GOOD CORRECTION. Longby gregfernsUpdated 1