Entry - above 32.85 ( daily closing ) Sl - 3% or your risk Tgt- 38 +
Here are the key levels for banknifty for the upcoming days
Have marked important levels for upcoming days. the market seems bearish until it closes above 21825 and if it breaks 21668 we can see some selling The key support for upcoming days is 21668
Entry - cmp or 67.10 SL - 3% or your risk TGT - 10% & 84 (avoid below 65)
Entry - above 900 Sl - 824 or your risk Tgt - 1200+ Strictly for long term players
Entry - above 52 or at 47 SL - 3% or your risk TGT - 58 -62
Entry - above 163 Tgt - 10-15% Sl - 3% -- DISCLAIMER -- I am not a financial advisor or SEBI-registered. This is just a view. Please DO YOUR OWN RESEARCH before investing in any stock Happy trading Peace
Entry - at 398 or 417 SL - 3% at both entries TGT - 520+
Entry - above 898 Sl - 3% or 875 Tgt - 10% and trailing SL
currently tata motors is consolidating in a channel and also it is forming a bullish pattern , if it gives breakout with good volume and retest happens make sure you add it for 20% in 2-3 months .This is just for educational purpose and its my pov . So do proper analysis before entering the trade :)
Entry - wait for some retracement ( if it gets opened in UC or 5%+ up wait for retracement ) Sl - 3% or your risk Tgt - 10% then trailing SL , 2 target is 247 Note - if it opens high starts moving dont entry , more chances are there to get trapped
A rounding bottom pattern gave a good breakout with massive volume, the stock is again retesting the breakout level, and once the volumes kick in again, it will be a buy signal. Buy - 41-44 Tgt - i) 10% (swing) ii) 40% (short-term) Stoploss - 3% -- DISCLAIMER -- I am not a financial advisor or SEBI-registered. This is just a...
Entry - 145-150 (buying range) Sl -3% or your risk Tgt - 10% and trailing SL
The results are very good , so the has momentum to go up . Entry - above 3219 SL - 3% or your risk Tgt - 10% and trailing SL Note - I think everyone how adani stocks work. Its always advised to keep booking profits if you are in green. Please note this is a risky stock
The chart is analysed on bigger timeframe , so the target will also come late if gets breakdown and gets retested The stock can see more pain below 106. Even 200 ema shows the chart is weak The RSI on monthly is also weak One looking for long can buy above 338
Entry - above 342 or around 325 SL - 3% or 5% TGT - 8%-10% Please note - This is just a view, no buy/sell recommendations are given here