Flavour of the town: #RealEstate #triangle breakout Buying Range: 130-150 SL: 120 Target: 200+ Horizon: 6 months to 1 year
A safe and sound idea, esp. in current market scenario. Long term consistent compounder! Buy zone:810-820 T1: 872, T2: 1000+ Time frame: 3-6 months SL: 780 WCB
Long term trend reversal Buy Range: 18.50-20 SL: Below 15 MCB Target: 100+ (5X) Time Horizon: 2-3 years Let's see! NOT A RECO, PENNY STOCK, I HAVE INVESTED WITH MY PARTY CASH!
Great buying opportunity in the counter. Buy Zone: 130-140 SL: 120 T1: 190, then ATH Time horizon: 3-6 months
To all the lovers and haters of #ITC. Just sharing what charts are showing. Triangle pattern formation on monthly charts and its very close to breakout or breakdown. Probability of a breakdown is low since the markets are in up trend. #Iamjustsaying #Itwasntme. I have parked my FD money in this, so I have no worries of its future course.
Beautiful formation with an ATH today. T1: 2000 (3-6 months) T2: 2400 (1-2 years) SL: Below 1400 WCB Cheers!
New idea update: #ICICIGI #ICICILombard Consolidating in a very tight range since more than an year. Entry range: 1424-1440 (Earlier resistance acting as support) SL: 1320 T1: 1626 and then, uncharted territory Time Horizon: Medium to Long Term
Trading at the support trendline that hasn't been taken out since March on Daily timeframe. Strong possibility of bounce back soon. Post breakout, it has given a good retest.
New idea: #HSCL #HimadriSpecialty If closes above 51 today, adding 1/3rd tracking quantity - Long term trend reversal. All in when it closes the week above 57. SL: Below 40 T1: 80, T2: 200 Time horizon: 1-2 years
New idea update: #VGuard on the verge of breaking out 3+ years old resistance (262). If that happens, it could move very fast till 350. Entry: If close above 262 SL: Below 217 Target: 350+ Time frame: 6 months to 1 year
Forming a VCP pattern on weekly chart. Entry: Above 250 Weekly Close Basis SL: Below 200 Target 350+ Timeframe: 6months to 1 year
Finally broke out with amazing volumes. It's a buy if closes above 252. If its shoots up further, one can wait for the retest for buying in 255-265 range. SL: Below 200 Target: 370 (Just note, it has been a huge wealth creator in last decade)
New idea update: #Borosil Renewables #Bororenew close to its 52 week high, becomes actionable above 325. Keep and eye! Entry range: 327-340 T1: 401, T2: 600+ SL: Below 200 Timeframe: 1-2 years
#ComSyn New idea update: Looks ripe for the next move. Deep SL but RR is very favorable. Entry: 100-105 SL: Below 79 T1: 141 T2: ATH Cheers!
Brokeout last week! Entry range: 2700-2750 SL: below 2500 T1: 3200+
Weekly breakout alert. Highly attractive risk to reward ratio. Its my fundamental pick, available at good entry point. Keep adding whenever there is an opportunity. No SL, No Target for this one!
A low risk, high reward setup. Trading at its 200EMA at perfect support. Entered today ~1285 Stoploss below 1100 T1 ~ 1783, then ATH.
A very rare setup. About to touch its lower trendline that has been intact for more than 10 years. A very high probability of a sharp upmove. Entry levels: 75-80 SL: Below 70 Target: 240+ in 2-3 years Risk-Reward: 1:17+ Keep an eye!