we are long coforge above 3978 maintain sl below 3930 short term target-4200++ risk - 48 points rewards - 200 points always respect risk to rewards.
we are long syngene international cmp 575-570 maintan sl below 552 target-650++ short term risk - 25 points rewards - 80 points always respect risk to rewards
we are long on indigo abv 1760 target-1800-1880 in short term maintain sl below 1730
we are long Heromotocop above 2900 maintain sl below 2875 target - 3100++ short term risk of 25 points reward - 225 points best risk to reward
we are long Laurus labs above 532 maintain stoploss below 500 long term target-620-720 time frame 5 month trendline breakout done and above our buy level we can see good upside move risk of 30 points rewards - 90 on 1st target and on 2nd target 190 points
we are long jublfood above 590 maintan sl below 570 target - 675 short term risk of 20 points rewards - 95 points always maintain risk to rewards
We are long wipro above 425 maintain Sl below 400 Target 537 Risk - 25 points Rewards - 102 points Always respect risk to rewards
we are long whirlpool above 1800 miantain sl below 1758 short term target-1900 long term target-2300 risk - 42 points rewards - 100 points short term rewards - 500 points long term always maintain risk to rewards
we are long muthoofin near 1145-1130 maintain sl below 1105 taregt - 1300+ short term risk -40 points rewards - 150+ points always respect risk to rewards
we are long infy cmp 1500-1520 maintain sl below 1440 target 1650++short term target risk - 50 to 60 points rewards - 150 points always respect risk to rewards
we are on short side raymond cmp 970/980 maintain sl above 990 short term target-870++ risk 10 to 20 points rewards- 90 points always respect risk to rewards.
we are long bharatforg around 710/700 maintain sl below 690 short term target 780 long term target - 860 risk - 20 points rewards- 80 points short term rewards - 160 points long term always respect risk to rewards
we are long balkrishna industries above 2375 miantain sl below 2300 target - 3000+ long term risk - 75 points rewards - 625 points risk to rewards - 1:8+ always respect risk to rewards
we are long VEDL around 216-206 maintain sl below 175 Target - 400++ long term risk - 30 points rewards - 200+ points Always respect risk to rewards we are waiting for down side entry level for best Risk to rewards.
avoid long in titan once it sustain below 2260 level below 2260 level it can fall up to 30% up to dec 2022 keep eye on 2260 level if you hold titan if titan in AUG month able to closed above 2400 then it can be good and not to worry
we are long canarabank cmp 230/220 maintain sl below 200 Target - 360+ till dec-2022 risk - 30 points max rewards - 130 points always respect risk to rewards
we are long Heromotocop abv 2900 maintain sl below 2875 target - 3100++ short term risk of 25 points reward - 225 points best risk to reward