Anushmita1 about info comming soon...
Intra day target : 742 , buy and make some decent money today in this counter
This stock can be hold after budget....either or it will happen..be it intra day or after budget announcement rally. Technical chart patterns are looking bullish.
41200 coming today itself. Buy tomorrow 42000 to know more follow us on https://t.me/sensexnow
Nifty should be on the Long side today's highs are done, this is premium erosion in for weekly expiry, .... monthly expiry should be a hold for 17800 or budget play. Ignore the noise at 2.30 pm... to know more follow us on https://t.me/sensexnow
Sona blw is all set to fall back to 420-410. Worst performing stock since Nov 2021.
Zomato : Intra day target : 48 , buy buy buy in this counter today...good decent profits to be made
Zomato : Intra day target : 48 , buy buy buy in this counter today...good decent profits to be made
ITC Ltd : Intra day target : 352 , buy buy buy in this FMCG counter....good money to be made here today......... to know more follow us on https://t.me/sensexnow
L&T : Intra day target 2155 , buy buy buy in this capital goods counter...good time to do intra trade.
if Bank Nifty sustains here it will fly 40985 keep watching.......... to know more follow us on https://t.me/sensexnow
as per MARKET BUZZ TGT 19000 DECIDE YOURSELF ....SL 17000........ to know more follow us on https://t.me/sensexnow
eris life Looking WEAK NOW, only buying above 632 if closes succesfully in hourly charts
FAG bearings- fag bearings stocks looking bullish for monday, buy above 2650
physical gold rate 59600....60000 by January end....65000 by year end...check my post....I am suggesting buy in dip from 50500 onwards.....Be cautious on sell....dont carry position to next day....use strict stop-loss ......... to know more follow us on https://t.me/queenoffutures
If you wait until to improve Eps to 100 then you will have to pay for improved stock price as well. sales and profits are increasing with double digits growth. profits margin also improved. we must see 200 rs recovery from current level
its not the end. it will further down. once support at 41400 breaks then immediately goes down to below 40000 or a Bearish mood wi be continued for a couple of days........... to know more follow us on https://t.me/queenoffutures
NIFTY BUDGET DAY --- NEW HIGH. BULLS will PARTY HARD.... to know more follow us on https://t.me/queenoffutures
see today reliance made low 2370 approx more pain left in reliance more update to our members to know more follow us on https://t.me/queenoffutures
After results 435 , after budget plus Jan sale 445, after ford Sanand plant production commencement 450, after private placement 475, after Tata technology ipo announcement 525....... to know more follow us on https://t.me/queenoffutures
This stock is pure trap and trading at false valuation will fall heavily on Monday 30 days target are 730
Crude Oil- GUYS I'M ONLY NO :1 ANALYST HERE...DON'T TRUST ME WITHOUT SEEING MY LIVE PERFORMANCE...8O155 SURE SHOT 88527...BIG TARGET to know more follow us on https://t.me/queenoffutures and get sure shot calls
Any Guesses whether BNF will reach 43000 by the next expiry???? To know more and to get sure shot calls to follow us on https://t.me/queenoffutures
Monday Nifty will go beyond the 17800 level in 1st half then some reversal can be expected, just wait and watch........ to know more and to get sureshot calls follow us on https://t.me/queenoffutures
Series of sell calls given on weak results like United Spirit, and Ultratech whereas Maruti BTST gave bumper profit - what a morning guys :)....... to know more and to get sureshot calls to follow us on https://t.me/queenoffutures
Good result but not excellent, I presume latent view may test 350 level again
sure it will touch 50 rs mark soon. its right time to accumulate. Today i added another 25000 share
pre budget rally failed today. it will rise only after budget if there r good things for fertilizer sector else will reach 250
Infosys will easily cross the 1630 level in short term to know more follow us on https://t.me/sensexnow
it is good sign JPA is going to debt free. JP power and JPI debt is going to reduce by around 15000 cr. JPI debt is going to narcl. it is good sign
tomorrow bank nifty will blast atleast 1000 points upmove to know more follow us on https://t.me/sensexnow
BUY NIFTY 18118 SL FOLLOW 18078, TGT WILL BE READY 18160/18200 to know more follow on https://t.me/sensexnow
moschip semi IS looking weak on charts and fundamentally, keep selling for 55
UCO bank results bad or good. no doubt wait for 28/- soon on selling pressure . if dividend declare it will cross 40/
PNB suggested at 35 as investment idea now at 58 plus, stay invested for 70 target next!
FIIs are still short, no changes on trading values. Be cautious as they may push the index to 17000level the way selling is ON
All banks numbers showing healthy hence bank nifty will be more than 42800 in couple of days time...buy ce and ride it...
Anibillion recommended PKTea also around 500-600 level and given a target of 2000, made so many people to buy. But stock drifted to 200 level. Still it trembling. Never trust Anibillion.
if it breaks 40830, ready for a ride till40890 ....one rally in next 1 hr...stay glued n dont miss opportunity
The stop loss of 566 which you gave is now history. Losses on this account. Please avoid giving such targets.
uc to three digit after nov may go up to 70-75 ... thats all as per 100 days.. im not find to much hope..
Shakti pump may deliver 30% profit within six months. Target 700 in few months
For 3 CONTINUOUS hours Nifty spot played bear 17 950 from 11:15 AM as per 5 mins chart .. Huge PE/CE must have given good decays today here.. Now at 2:37 PM.
45 a lot g way to go first it may touch 23-24 before next upmoov by fed meeting it will certainly be below 27 sell & free your capital & book profit
BSE before split rallied to 3000 from same level as CDSL was, CDSL stuck since thn. hope it sees 3000 in next 4 Months.
today could be last chance to enter around 770 levels, then it may be available around 820-850 levels. so i am fully loading.
Tata investment hit life highs today with 8% rally,suggested from 700,cmp 1800,enjoy the moneyrain frnds
jai corp cmp 162 . on crossing 180 and close above that may make share to reach trgt of 220 in 1 to 3 months
it has crossed major resistent point 35.. now you will see sharp move in this counter till 50 and the final Target will be 75 within oct.
Buy: 3190 Stop loss: 3100 Target-1/2: 3300-3450 52W(L/H): 2649-5060 Investment By FII-11% DII-12% MF(29 Schemes)-7%
No bonus till reached 280-320, so atleast 4 more year you have to wait for bonusππ
BUYY TTML AT CMP TRGT 158-160 LEVELS ALL BUYY NOW SEE ONE SIDED RALLY WILL HIT 160 LEVELS BY CLOISNG BELL
Buy 39600 CE and be in profit as market will go up around 41100!! say thanks later!!
52 week previous high is todays half price positive feedback must required lost huge amounts shown from listing day
My target for Elgi Equipments is Rs 580 for the long term with a stoploss of Rs 520
9 is bigger resistance. if cross 9 with heavy volume. and closed above 9 for 3 days. than new 52 week high target is 12. hold tight and seat.... ok....
Galaxy Surfactant was trading 1000 plus two years before and now trading at 3000 plus. Hold for two years you can see 3000 level..
once we get closing abv 8850 for twice we can see rally towards 9250-9500 & max 10000 levels
buy near 14.5 and sell near 15. conveyed already in morning .repeat again...best to trade..
aaj tu 140/150 RBL ka lega..jakar khi kud ke mar bhi jayega to nhi ayega..aur rha baat long term ka to 260_300 bhi jayega.. π
Infosys : Intra day target : 1470 , buy buy buy in this IT counter and make some good money today .
Today itself Nalco may show 75 levels if commodity prices fall more sharply .... Target 75~72.... Happy Investing !!!!!
as told good strong support it has at 39200 levels it cannot go down below today so expiry to happen between 39350 to 39400
RIL 2580ce at 75 now buy on dips for Intra only ... 2560support coming spot
buy VI at current rate rs 9 for a target of rs 10.40, 12.60 and above 13 plus 52 week high on this counter. mark my word....
Lot of Mid and small caps still 30-40 percent below their yearly high though market just 5 percent below all time high. Mad rush to begin in mid and small caps any day
Most undervalued banking stock available at PE of just 4.52 having BV of 215 with a dividend yield of more than 5%.This will definitely reach 150.
As buyers are almost double in futures, I am expecting huge rally of another 300 points to the minimum. Closing can be 39200
Immediate levels before diwali 2022 - 1500, 5 year target - 5000 and year 2030 - 8000
dont be trapped, overvalued stock its actual price on viewing business and fundamentals current price should be 200-250
CPM 48.75.... will close above 50.40 today. Good Buying Opportunity for short & long term. Short term targets 58 within 2 weeks. long term will cross 3 digits within 12 months. Stay Invested
one can see.. nifty 17700 ce.. sell.. more and bank nifty 39400 ce ...sell.. truck load...
BUY AND HOLD FOR LONG TERM PERIOD IN 10 YEARS MINIMUM RATE CAN BE SEEN RS.5000/-
Accumulate Vakrangee at CMP for Target of Rs.35. Looking very strong in technical charts. Do your own analysis before investing. Stop loss 25.
FAST SELLING FAST SELLING....... ACCUMULATE AND SIT TIGHT MULTIBAGGER 2022 10π§§π§§π§§π§§π§§π§§π§§π§§π§§π§§π§§10
looks like wonderla profit booking stabilizing at present levels of 336-337.....I ve made my purchase today.....Will make further purchase if corrects to 300 levels.....if wonderla scales up from here ...target is 400 minimum...
Intra day target : 1910 , buy in this capital intensive counter to make good gains / profits.
Intra day target : 2635 , buy buy buy and make some good gains today in this counter.
224 to 225 is strict stop loss.......................bought 1 lakh shares at avg of 221..............................with stop loss as given target is 235 for to
This stock is expected to stay on the upward trajectory from a short to medium-term perspective looks good above 5300
till the time its below 38600, it will remain weak sell on rise, expiry at 40000 is impossible..only after Powell speech on Friday, next week you can see the upmove.
Nifty continues to have good support 17360/17275 (spot price!) and resistance at Same way, Bank Nifty has good support at 38000/37800 (spot levels) whereas resistance lying at 38600/38800!!
Confirm News Today Sell Sell Sell Sell Sell Sell at 38250-38200 levels for Target is 38000 confirm confirm today today by 3 PM today make my words sure sure sure
Navneet education getting ready for a all time high. Be ready for a target 0f 220-240 in near future
RELIANCE INDUSTRIES good bullish pattern for today 2650 heading towards infosys 1625 levels for buy
Now 17550-17600..................bUY CALL/NIFTY This month expirty above 17850/18900..............Good LUCK
Better Buy again. no fear in adani stocks. rally might continue till 500 or above
buy pacific ind at 330 to 340 quick target 380 to 420 rs upper circiut any timeπππππ
NOW L& t is heading towards 1950 levels buy hold tight for a Target of Rs 2000 !!
nifty will go up if it closes above 17800 expected to move above 17800 if it recovers
from last month from 34500 to 39500, it has run 5000 points in a strech irrespective of the global markets. We expect 37500 by this week.
Sold 250 shares today morning at 1197 , Nifty correction confirm to 16800 levels and will re buy at 1075 now.
Sunpharma 900 PE options, I am bought 5 lots at 14, 13, 12. Tomorrow or monday 30, 40, 50 target. So buy PE option stop loss 930.
No need for this share to fall. pure manipulation by operators. should start rising from here. my target 400-410 in next one month
BANKNIFTY WILL BE ROCKING TODAY IF SENSEX SUPPORTS BANKNIFTY WILL SEE HIGHER HIGH SOON
Nifty at 17890pt. High risk traders can take a combo short , buy one lot of 17850CE at 55RS and take a future short. Review at 3.20 pm. Max loss thirty rupees per lot as your CE is deep in money.
The yesterday low of RIL was 2655 , the call was given during that time , buy at 2655 and sell at 2667. The high was 2676. Maybe you saw my post a bit late when RIL went up
Bajaj Finance : Intra day target 7610 , buy buy in this financial services company and make some good money in this counter.
Infosys : Intra day target: 1615 , buy in this IT counter and make some good money , profits today
tomorrow 39500CE will become 400-500 like.last week. same like 38500CE last week and 37500CE week before that
For the week, we expect Nifty to trade in the range of 18000-17400 with a positive bias. The weekly strength indicator RSI is moving upwards and is quoting above its reference line indicating positive bias.
RAMASTEEL MOVED SUPERB IN LAST FEW DAYS, BUY QTY ON EVERY DIP FOR GOOD UPSIDE, TARGET 600 , HOLDING 1-1.5 MONTH
1951, here mean to say one year = 12 week=90 to 100 days will cross 52 week high.
market gathered huge positive momentum nifty crossing 17900 now and going for 18000 add metals autos banks mid and small caps
Friends - 300 points Bank Nifty down from my resistance level suggested at 39400 this morning! Hope you liked my call and levels on Nifty and Bank Nifty which I share every morning on Grow Mudra
Friends - 300 points Bank Nifty down from my resistance level suggested at 39400 this morning! Hope you liked my call and levels on Nifty and Bank Nifty which I share every morning on Grow Mudra
tata steel todays closing above 115 possible..... stay invested... good luckπ₯°π₯°
buy 17600 ce hold until today low is not touched max pain will be 20 points but will give alone with market reliance tata chem vedl many stocks heavy weights hdfc to shortly are in short covering mode
πBuy HERO MOTOCORP for intraday target of 2790-2800 and 2880-2900 till next week, bcoz Hero Motocorp increase price of his vehicle in Q1 thats why profitability is comes good, so buy now for minimum 3-5% in August series.
Power of supply zone 481. This will head lower, next week china taiwan effect will take it back to 460-440-400 levels
today is Friday it will go down, no chance of reaching again 63..i thought it will go for 20% UC but failed.
Sales up by abt 14%, but some rich people dumping this gem for 120, which is acting like a strong support, so buy in tons at c m p. Intra day target 125 - 129. Say if you buy a 1000 at 120 and it reaches even 127 intra day,
POLYPLEX IS 10 FV. LOW PE. EPS 180 LOW EQ. DON'T KNOW WHY IT IS NOT MUCH TALKED ABOUT SHARE. TO ME GOOD/BAD RESULT IS TEMP ..IMPORTANT THING IS THAT IT IS HAVING VERY STRONG FUNDAMENTALS.
tomorrow we can see a gap down in bank nifty .. it wil be tested below 38500
17600 ,17700 CE ,18th expiry closed near days with a average OI increase of 200 to 400% big shorting happening at higher levels .Nifty may touch 17000 or below by Aug 25th expiry
Tomorrow it will cross 100 definitely. Only few sellers available below 100. May hit UC. This will double within a year. Accumulate ASAP.
After 2 PM Today Bank of Baroda Buy at 119-118 levels for Target is 121 today
A fall from here to 17400-17250 will be very good for the market. A fall before rise is always good. Anytime now u can see profit booking / correction coming into the market
Depressive stock and manipulated by operators... sudden fall from 233 to 227 trapping retailors... you will get eternal depression if involved with this scrap
Results will be good...With getting new Licenses it is Highly undervalued...Hold for 120-130 levels soon
Wow great dream. Scrap is trying to become gold. They do not have money to repay loan.
WATCH out these indices if these given breakout from their strong resistances then we may also see Bigg rally upto 17850,17900... 13800 dax, nikkie 28350, s&p 4180, dji 33400, nasdaq 13000,
yesterday I have given a buy call on BNF 38000 CE at 9.37 when it was at 230 made a high of 473. check the levels.
if no tatneft...granite is enough .......or real estate....good thing is debt lower than assets........minimum 20rs target
earlier i suggested when 396.10( buy buy buy hindalco cmp near 396..................... target 420/430.... short term.....) today my first target achieved ..... should following use trailing stoploss...
this will be in same range of 600-700 for next 5-6 months. Better Q2 & Q3 will decide upmove of this share. But for Longterm 3-5 years this is good stock. Expect 2k in next 5 years.
Seems will consolidate in a 50 point range for few days before major upside , lets
My next Target in this stock 14.50 15.30 in coming quarter result. Keep this stock in portfolio.Till Dewali .
jk cement also capacity blastπ₯π£π₯π£π₯π£ only buyers circuits maybe crossed 5500 to 6000 biggest news comingβοΈβοΈβοΈ
this stock move 100 rupees in one month.peomator holding increase increase ho rahi he...buy buy buy..
Do not miss the chance to buy easemytrip at this level, buy at 416-418, sl near 402, target 480
nifty now crossing 17700.market gathered huge positive momentum soon nifty crossing 18000
its sellon rise counter if it crosses 450 then we can see 500 in coming days otherwise stock is having huge resistance at the rate of 450
15 aug se phle market 18000 ho jaye to Im not surprised because its quite possible
I am holding only 7000 SRS share. My target ,will sell 500 shares at 65/-, 500 shares at Rs 90/- 1000 dhares at above Rs 100/- plus within 2 to 3 years. Balance 5000 shares keep for Rs 200/- after 3 years.
hi frnds book profit in bank nifty calland sell it for targte of 37700 as sudden fall is coming
Yes even my target is 2024/25 at least.Then see my situation if it is good then hold for some more time
this is a slow and steady stock big equity large dividend.good for long term investment.good result is for a target of 275
Dont jump let it cross 284 and sustain rang after that 284 up 302 & 284 down side
buy voltas target 1070, 1150, 1275 plus, short term. high demand, top company in cooling segment, fundamentally strong, 1500 plus in medium term mind it.
Sharing revenue per tower fell by 11% in recent results. Stock will correct for few weeks now.
562 level very important for resistance. if it resisit here for a week . you can see good levels. Anu break through below this level..weakness arise. wait and watch . buy in dips for small quantity.
Tech mahindra profile is good profit making company buy at current prices for target of βΉ1200.
LIC Housing Finance was screaming buy at 300-310 levels which I suggested also, hope you got benefitted as I have 450 plus targets!
YB as intimated breakout with volume ...target 22 this week ... Happy Investing
open offer triggered at 848/72 per share for 26% stake .....spa is for 61/19% .....DPS will be there by 8 August which will have tentative schedule and if any rare voluntarily d listing attempt first and if failed followed by formality of open offer .
HOLD TIGHT SHARP UPSIDE ANYTIMEπ―π―π―π―π―π―π―π―π― IMMIDIETE TGT 80 HOLD TIGHT π―π―π―π―π―π―π―π―π―π―π―π―π―π―π―π―π―π―
Deepak fert 5% ucc new highsss from 60 to 782 Now enjoy the MoneyRain Frnds !
this is a rocket and will reach new heights now....850 in 10 trading session....
It all depends on July sales figures which will be announced today. The next move will be on 6/7th when JLR sales will be announced. If. both are positive, 500 is a given .
Yes,I do agree with your views to reach 720 this week and next week 760. By 1st week of September, it will reach 800. Mark these words
there is huge sell awaiting till 17150 tomorrow gap down from today close price will see the 16950-16800 keep watching
FIIs have 8.5 lkh crore portfolio to dump.If they are getting good exit at 17158,they wont worry much about 2000-3000 crore premium struck in Option longs
Tomorrow tatasteel will move up buy for a target of RS 150 / . tomorrow may be UC
BUY,BUY,BUY,BUY,BUY, TOMORROW WILL DISCLOSE EXCELLENT RESULTS BUY FOR A TARGET TOMORROW RS 310
THOSE HOLDING AUGUST AND SEPTEMBER SERIES SHORT POSITIONS, SHORT COVERING WILL HAPPEN ABOVE 17500/- WAITING TO SEE NIFTY NEW HIGH, HAPPY DIWALI TO BULL AND DIWALA TO BEAR. RETAILERS CASH PORTFOLIO WILL BE GREEN SOON IN ALL SECTORS. EVEN DEAD CATS ARE ALSO GOING UPPER CIRCUIT. SMALL CAPS WILL BE MEDIUM, MEDIUM WILL BE LARGE AND LARGE CAP WILL BE ULTRA LARGE. IMAGINE RELIANCE MARKET CAP ABOVE RS. 3000/-
Little profit booking will be seen at 88 levels ...Buy Sail for quick 15 cent gains ...Long term Investors hold for 130~150 levels ... Happy Investing !!!!
fantastic results have been posted this qtr. Now its ready to fly high in the sky like satellite. it will cross 650/ before Diwali. so hold tightly and but on every dip. keep cheers and happy investment ππ
Nifty 50 Next Week expiry between 16800-16850 Correction is must for every rise good for market condition. Stay alert high CE value.
C.E. Info- C E info: Keep accumulating on these dips . Target 1700/1750. Excellent company
Back to supply zone 455-462. Weekly monthly close will not happen above that.. its not buying its trapping..
my target done today....now wait for it to come down to 1220 levels & then buy for 1300 targets..
Break out happened with the good volume and price appreciation ...... 1st TGT seems around 820 ...... but can be hold for the more appreciation in the long term ......
Buying happening before results show that results will be very good it will close above 1300 further buying take is 1400 till Monday then mid term tgt 1600
Tanla : It is consolidating well soon it will regain 800/850. . Today we may see UC
nifty is all set to test 16755, all events are over by tom. it may even breach below support
buy McDowell United spirits good upside coming catch if you can for good profitsΰ₯€ΰ₯€
HDFC will cross 2400 in next 2 to 3 trading sessions. Stay invested and reap the profits. Happy investing guys π
dont worry tomorrow gap up will be just 200 points buy for that βοΈ buy the momentum trade momentum always boom boom π₯
now if it holds 37350 till 3 pm today only we can see BN upto 37500 on closing basis so buy buy
Tata invest 8% up rocking,intially sugested at 700 cmp 1520,hold for long trm frnds !
Thank you Jee and very happy for SBI big profit recently suggested to invest at 450 only, already 80 rupee up. As suggested my targets for SBI is 650 surely coming in 2023. Thanks
Hi Akansha - Very happy and glad to know that Indusind Bank is up 7% since I recommended just 2 weeks ago, many others SBI, TCS, Zee Entertainment, Bajaj Finserve are also unstoppable and very happy for my friends on Grow Mudra
Dont buy this stock till there is more clarity from management or experts here. Till then short those who can, after 585 breakout next support is at 385 level
Infosys is No.1 in Sales growth and No.2 in profits among top 5 companies. Will cross 1500 soon and touch 1600 by next week.
Sell above if reaches 6300. Intraday Target 6210 Stop loss better to keep 30 points from your sale price.
i have already prediction that this will be in downtrend from 385 and monthly expiry will be below 380..cheers
as I mentioned yesterday Nifty is in the process to make Elliot correction wave B. tomorrow we can see 16380 below or once it crosses 16600 then it will come down
sbi finally breakout above 522 which was given today morning target confirm come 535 or 542 heavy volume aggresive buying u can do this counter for 542 target and above
With very conservative Earning per share as on 2022-23 minimum Rs.60- per share We must trust Target of MRPL Rs.240- as on 15th May 2023.π
Positive Alert for Banknifty: Yes bank is owned by banks led by sbi. YES Bank gets 2 more potential bidders for βΉ48,000 crore stressed assets.
Kotak Securities, post stellar Q1 results, gave a price target of 960 for Axis Bank.
Motilal Oswal retained Neutal rating on Tata Steel with a price target of 975.
Kotak Bank price targets given by more brokerages after Q1 results: Axis Securities 2250. JM Financial 2000. MOSL 2000. Pabhudas Lilladher 1950. Edelweiss 1900.
26th July : below 16625-35 can take downside target of 16475-80...where Nifty might find support again for few upside moves
As per my understanding I m expecting 330 as soon as possible. Lets see the up move now.
as said will go down wait for levels 16550/500 to come where again buying can seen at 16500
Hi Somnath - I have 4 digit target i.e. 1000 for UPL in the medium to long term. I am available if you have any questions. |
36450-36500 is acting as support for bank nifty do not blindly buy pe. wait for sometime and see which way the trend is going to avoid losses.
The stock has very strong support at 12.5-12.9. It has first resistance at 16 and second resistance at 18-19. So it makes sense to accumulate YES stock, whenever it comes down near 13. Long-term investors can start buying around 13 and hold it for 4-5 years to multiply 4 times.
The Rupa management has guided to a 15-18 percent overall revenue growth going forward.
Whatever negative news in Bandhan is already factored in. Stock is still down 18% from its all time high of last year of around 350
Hi KVK, if CG acquires a listed company, if we get that indication in advance, may be that company be a multibagger along with CG...as CG may go to 350 -500 in 2-3 years, better to stick to CG than looking for new opportunities.
FIIs long and Nifty at 15900 and Dow at 30600 was the situation,last week.Now FIIs are long,but Nifty at 16700 and Dow is now falling gradually towards 31500 and below.FIIs will change their direction as soon Dow changes it.This week FII played the expiry game against PE buyers and many have bought PE for next week also.They were caused a bit harm in yesterdays rally.Now expecting FIIs to buy cheap PEs,which they might have already done yesterday and move in reverse with Dow falling
Bigg rally is yet to come in Dow Jones before fed event our nifty may touch 16940 level so most of the put buyers will exit or they convert to call buyers ...put premiums will be eroded anyway then a fall of 400,500 might come...those bought OTM puts they will be ended up with single digits..
Excellent opportunity to go short on the markets..Nifty will crack down to 15500 and Bank Nifty will tumble down to 31000 levels very soon
added 5000 shares ,crossed its strong resistance 86 now soon it will cross 100.
Watch out Auto stocks today, Eicher and TVS simply unstoppable today! Auto sector to watch out!
GM Friends - Our mind is like a magnet - If we think of blessings we will attract blessings. If we think of problems, we will attract problems. Always think good thoughts and always stay positive in stock market.
Market View %u2013 (Thursday - 21st July ) Wish you ALL a good weekly expiry day! Market is likely to open on a stable note as Global market is stable and good news is that FII have started buying in good numbers since last 2 days so market is a buy on all dips!! For today, Nifty continue to have good support 16350/16250 (spot price!) and resistance at 16640/16750. Same way, Bank Nifty has good support at 35500/35300 (spot levels) whereas resistance lying at 36300/36500!! Stocks in news - IndusInd Bank, Havells, AU Small Finance Bank, Wipro, Tata Communications, SRF, PVR, Can Fin Homes and GSFC Cool n safe Trading and Investing day ahead!
Friends - Told you investment point of view stay invested for 1150 targets in Indusind Bank yesterday!
HCL Tech is an investment idea as risk reward certainly favours from here as risk is 10% where as reward is 30-40% on the upside!
Friends - How would you rate my investment idea on Larsen originally at 900 and recently at 1550, will not sell a single share before 2000 levels!
Hi Sanjana Jee - Good morning, if you believe in India and Indian economy then investing in Banking Sector is Must!! SBI and ICICI Bank are my 2 top picks from this sector. Happy INvesting and I am available if you have any more questions!
Since past 2 days, No movement. as of now, sell order is 2 times the buy order.
Icici Securities maintains Add rating on HUL with a price target of 2750.
Stock turn in to long term positive zone ... It seems rally will start ... Today 550
it is going to cross 580-600 in very short time ..moving towards 3 digit target ..
exit suggestion given at 8860 now 8800. Followers cheers. Again possible rebound to 8844 today intraday.
looks super solid may hit upper circuit. 247- 268 is on cards. waiting and watching.
Can sell this Stock when it gains another 3-4% Selling an investment is like buying one-you have to make sure it is in line with your investing and financial goals. Looks good above 12910
cross hurdle of 282 with huge volumes. catch it if u can . 300 coming shortly
WE WILL GO FOR SHORT ONLY BELOW 214............................ABOVE THS PRICE....................BULLISH................CHEERS
Operator will be interested in eating both sides and that alone can take nifty towards 16150levels.
Escorts is looking good and took support at 1480 levels, this is the best stock along with MnM in Auto stocks!!
Alok has about Rs. 4600 crore (annual interest is about Rs.460 crore, 10% p.a., say) which is very low to post good results when textile market revives. Exports are competitive now (as $= Rs.80/ now). So, hold Alok.
Today Confirm news Today Sell Sell Sell at 35400-35500 level for Target is 35200 By 3 PM sure sure sure today make my words
Laxmi organic in the statement stated that the fluorine plant started from March 2022 and the rest of the picture will be clear after results. If we value it like other fluorine players it should trade at lowest pe of 50 means more than 60 Percent upside potential and a target of 500rs is intact given by most of the analysts. Stay invested in this for the long term.
now crude oil 7971 near my 2nd tgt 8005 buy given from 7605 ...book full profit now...
Friends keep buying for current levels any time its moving towards upper circuits. Best of luck for long term prospect.
Rupee has given up the ten paisa gain taken at open, and now two paisa down. But at 12 noon , PE additions were double of CEs, indicating Nifty strength. Also Nifty is well above the resistance of hundred forty points.
BHL get good profit from government order without any investing in raw material one upper circuits may possible in this week
Som Distilleries is considering interim dividend in the board meeting scheduled on 20.07.2022.The company was at net loss at previous two years. Now that they are considering interim dividend based on 1st quarter performance. Prudent investors read the message on the wall and act accordingly.
Banknifty Fut Cmp-34,782.30 buy in dip till-34,725 above sustain risk takers till hold above-34,705 , else buy cross hold -34,811 sustain tgts-34,941-35,007-35,165-35,225-35,332-35,361 extended tgts-35,470-35,555-35,745-35,810-35,922-36,330 stop Loss buyers nearest-34,585 strict stop loss buy-34,540 Trend- Positive Trend- Strong above-35,010 Direction - Up with Volatile Moves π½πΌ
quarter results will be bad as always need to watch the repayment due of approximately 800 cr.. wait n watch
Company should not go for QIP at this point of time when valuations are very low
Yes.16500 and above can come by weekly expiry.16300 easily looks achievable on Monday
Hdfc Bank is not going to crash on Monday .Results are not bad and in fact shorts are in trouble
Dow is not going to fall now and will rise up to 32k next week. With Dow not falling, it will be difficult to bring the Nifty down. Nifty will now correct only after 16500
Whole Europe in GREEN, I think Bank Nifty will give some good momentum upside.. 35000CE may be possible today itself
Wish you ALL a Happy Friday and a great weekend ahead! The market is likely to open on a cheerful note as the Global market is stable and the good news for India is Brent Crude is below $100. For today, the Nifty continues to have good support at 15800 /15700 (spot price!) and resistance at 16075/16200. Same way, Bank Nifty has good support at 34500/34300 (spot levels) whereas resistance lying at 35200/35500!! Stocks in the news - Continue to watch IT stocks as results week, ACC, Jindal Steel, LnT Technology... Cool n safe Trading and Investing day ahead!
Here you go guys, Tata Global rocked this morning call, enjoy the gain :)
Expecting Weak to subdued sort of results from Jindal steel, lets watch out guys. Thanks!
Thanks Preeti ji - Glad you are following all the rules of trading, Keep Learning n Earning. Have a Profitable day ahead!
Great Akshay ji - Now save this profit as this becomes a part of your hard earned capital now. God Bless!
GM Friends - BTST guys may book Voltas or trail the SL to cost price. Have a good day!
For expiry people, I feel Bank Nifty has strong support at 34400 and resistance at 35400 whereas Nifty has strong support at 15800 and resistance at 16200 hope this helps if you are an expert in selling options to eat premium on expiry day!
Yep agree with Deepak here Sanofi looking strong with good volume and price action recently! Happy Investing.
it seems very easy to trap retail traders. Impatient trader start buying when see green and start selling when red. Market is in downtrend. Dont miss this opportunity to sell your long positions. Reversal will happen from 16400-16500 levels of before it even achieved
As I said in morning 59.50 just touched now 61 rs next target buy now tommorow it will at 62 to 63
Dear Bhanu Jee - Yep no doubt about that TCS should be part of our core portfolio from current levels to every dip towards 3000, keeping 2850 as stop-loss buy for 4500 targets!
Hi Dilip.. AS advised earlier, if Nifty sustains above 15800 for consecutive 2 days, 16200 target is possible and here it is. Above this levels closing 16400 is on the cards, 16000 on closing basis is good support for Nifty now! Hope this helps
Eicher motor is my top pick in auto sector, I have 4000 plus targets for Eicher!
15 rupee up Eicher after my last message just 5 minutes ago, trading wise book or trail. Investing would not sell single share before 4K. Auto looking strong another one is Motherson Sumi!
market operator chala rahe he. public sochati he bn girega magar operator isko 35800-36000 tak up dikha sakte he. ulta socho. movement ke direction me hi socho sahi rahega.
At current levels stock can buy for 20 % to 30 % returns in a year ..........
soon will cross 600, 700 buy with conviction.... results will be very good this time....
Hype is over. Large interest rate hike coming, oil is again moving up. This will go below 1000 again.
We may see 300-325 levels for sure... hold tight... big giant is getting ready to leap up.
Now loos like it will cross 700 ..... and if crosses 700 plus levels then it will touch 1k guaranteed.......
excellent pik, cash rich co, available at throw away price, buy for a tRget of 110 by tomorrow
You can square off EOD today above 16250-16300.Tomm it will again come back to atleast 16100 where you can buy it again for next week
People who have not even take any trade today,will try to scare CE holders to rob them out of their profits.Ignore those messages and hold tight now.This is going above 16200 today
Thank you Bajaj twins along with Hero MotoCorp to make our day. Happy investing!
LOOKS like by next week..may cross...55..plus....towards...new 52 week high...!!!!!
sell nifty for a target of 15500 tomorrow. 16000 rejected several times. Anytime crash possible. huge gap down pending. Sell sell sell
195,52 week high today is 58 oprator is excellent to trap individual investors long term hold this stock
L&T Intra day target : 1560 , buy and make some good money today in this capital intensive counter.
Mera update positive hai, as it is consolidating in range of 2700 2400 is 52 week low. Raw material prices gone down, its EBITDA will increase for 2nd QTR.
Axis bank : Intra day target : 659 , buy buy and make some good money today in this counter...buy buy buy
you can buy International Constructions Limited SUBCAPCITY....now 2000 shares are remaining for selling...It have very big chance than these stock...
worst time for reliance is over. feel free to buy for 2700 in short term with your own research. thank you
struck from 1750 level. operator is not allowing to rise even the market is up.
Negative Alert for ONGC, OIL, Reliance and Vedanta: Reuters citing Revenue Secretary says the windfall tax on domestic oil producers will be removed only if crude price falls below 40 usd per barrel.
Jo bola tha wohi ho raha hai .. will take time to settle above levels of 210
Stock corrected from 1534 level. Trading at 2.6 pe. Blue chip company of Tata group. I think best for me investment for long term. Wait and Watch
from 108 to 38. Your reco for buying has no takers. You should be concerned with your own opinions which is not compatible with market movement.
over a lakh stock is already distributed above 8000-8500 value to all the new entrants, without letting the old sell theirs. and then observe what happens in coming days.
Guys now is the time you can Invest more as from this level seeing a Bullish move in the market, Focus more on Investing rather than Intraday. Thanks!
Ampere is now at second position its only after okhinawa and it sold 6534 scooters difference between its sales with okhinawa is just 400
Frankly speaking there was nothing Special in the agm.. actually nothing Special happened since lsst agm.... except 2200 Cr recd... so board has to say.... just go and come...
Tata Sales At 45k In June 2022, A New High %u2013 Nexon, Punch, Harrier, Safari Tata Motors registered total domestic sales of 79,606 units in June 2022, with a YoY growth of 82 percent and MoM growth of 6 percent
DOW CLOSED 321 POINTS UP ON FRIDAY NIGHT ... SGX NIFTY UP... NIFTY WILL RALLY ON MONDAY LIKELY TO TEST 16200 NEXT WEEK... 5G AUCTION AFTER TWO WEEK IN JULY .... INDUS TOWERS WILL RALLY FOR IMMEDIATE TARGET OF 237...Q1 Results will be significantly higher due to payment of dues from Vodafone Idea ... Happy Investing
BCG is growing at 40 to 50 percent. Last year EPS is 4.5 and with this much growth, in next 5 yrs BCG EPS would be atleast 18. Even if we consider PE ratio of 50 to 60, this would reach atleast 800 to 1000.
Guys now is the time you can Invest more as from this level seeing a Bullish move in the market, Focus more on Investing rather than Intraday. Thanks!
DII providing exit to FII ,everywhere is aware.However its perfectly legal.Retailer SIP money let us assume is min for 3 years,so DIIs will also make money on it in the end
In stock option 1 day before monthly expiry it doesnt allow trade,as delivery is compulsory for stock options.Other than this it allows trades for everything
Sell on rise ....Nfty may touch 13800 levels ... expect 55~50 levels if crude stabilize above 100$ and rupee depriciates .... Happy Investing !!!
RIP is under valued now market value should be atleast 10 or above with Amravati plant working. its being pulled down intentionally...
Crude is falling and came below 110... if dow turned around and recovered tomorrow hpcl will rocket
Hi KKSurya Jee - Reliance may go towards new 52 week high, SL is 2450 in the near term!!
tomorrow gap up opening, see how sgx recovered, will cross 16000 and test 16200 on monday.
No of equity shares are 200cr that is why supply is more , once supply increases it will go down.wait till 20 rs.
Titan CMP very good buy dont miss this golden opportunity minimum 25-30% returns from here mark my words CMP 1941!... enjoy...
HI Anshuman Ji... πWait for 180 levels now. I thought a Good Buy at 221. But trapped now.
Nothing to worry. The company is running with full capacity and top line, bottom line and EPS is improving . So this will reflect in the shares price. Debt free company. Hold for target of 12 during Q1 result.
Today will close on 100. see short formation chart and today recover chart. .
PMC fincrop potential to touch RS.15-20 before Q1 results then after non stop upper circuit like 2014 till its all time high π―
Downside is over. From this level can touch 173-175 by next week end. Accumulate as much as you can
Nouveau Global Ventures surges after selling 19.81% stake in Basic Real Estate
Ruppee depreciation will also increase topline and Bottomline in all overseas ventures....Strong Hold....mid term...1500...1800
as it is moving we are 500 percent confident for not hitting our stop loss of .......................cheers
today I personally think that at EOD it will be closed above 58 rs. keep fingers crossed.
This Stock is in a sleeping mood, Once it wakes up then it will move to 1200 in an instance
It will fall like anything in next 2 days. it will test 35000 by tomorrow itself, FIIs only selling and selling, still they are major holder. DII will not find place to sell. lets enjoy downfall and opportunities for buying at lower rates.
Linde 5% up roccking, preparing for fresh jalwa frnds, from 1300 to 4100 done once, cmp 3280 !
Vimta 8% uppp, preparing fresh jalwa frnds, from 230 to 450 done, cmp 376 !
Kabra 18% up, great comeback, initially suggested at 130, hit 560, now preparing fresh highs gradually!
great news buyback price is 1700 news just came out and details uploaded on bse website have just checked it whats the target price now
Journey to wards 52 week started.if q1 result as good as past quarter it can touch 2000 mark
simple rule guys..stock has been falling continuously with no support and now the fall has stopped that means buyers are active at current levels traders can bet 700 to 740 targets with an sl at 650...very reasonable risk reward .....RSI has gone up above 20 means stock has been oversold and now time for some upmove if it breaks 650 then exit
IMF has slashed US growth %, will it have any effect on Mondays market...pls comment...thnx in advance
(idbi bank ) Blackstone and Tpg capital fii investors highly interested .....dont miss its highly undervalued stock avaible and discounted price
before Q1 results buy PMC fincrop next multibigger stock πππππ enjoy rally target RS.15-20
HI Preeti JI... Though it did not rise 1200-1300 points yesterday and paused at 823 points. So on Monday Dow can be expected to rise 400-500 points more as follow-up rise. This should finish the game for bears on Nifty. Yesterday's Dow rise can take Nifty above 16000 and Monday's rise can further take it 150-200 points above 16000. Then PE buying by retailers at 16000 and above will ensure, Nifty expires around 16200-16300 for this expiry.
HI Preeti JI... Though it did not rise 1200-1300 points yesterday and paused at 823 points. So on Monday Dow can be expected to rise 400-500 points more as follow-up rise. This should finish the game for bears on Nifty. Yesterday's Dow rise can take Nifty above 16000 and Monday's rise can further take it 150-200 points above 16000. Then PE buying by retailers at 16000 and above will ensure, Nifty expires around 16200-16300 for this expiry.
again upward journey started ... fabulous results expected in August on the back of solid top-line as well as bottom-line performance. keep buying... share price slided only due to low dividend announcement but fundamentally strong share in volatile market
Friends please remember that the GRM has nothing to do with crude price.Afew dollars move in crude either way does not influence the GRM.This Qr result will be the best ever in its history.
copper price have also fallen, since high in March22, thats i think also very positive
In my 21 22, co has paid corporate tax of 345 cr. This figure, if genuine than probability of genuineness is very high. Digital marketing is a fast developing area. Future will be better than excellent.
The date of agreement is 10-5-2021. as a shareholder I got confidence and lets hope good future of sitinet.
That much tho SGX is also indicating as of now, lets see the magic happen after a long time now!
company trades above 14o level before dividends date...buy guys for green portfolio..
we can expect up movement only after 15 th July that is after the completion of AGM
Sgx nifty and nifty both underperform global market. DOW is up two per cent still Sgx is up 1.5% similarly nasdaq is up 3 per cent but nifty it closed in red
Buy call for Monday - the stock will cross βΉ100. The weekend got some great news about blinkit acquisition. The stock will see severe upward move.
few points why i prefer hfcl: 1. sector growth 2. Hfcl foucs on products than services 3.PLI 4. TIP , bharatnet project 5. Capex plans 6. capacity optimization 7. International presence 8. jio partnership 9. trusted source certified from nscs. 10. partnership with Qualcomm, wipro etc 11. expanding distribution network with partnership with beetel etc. Investment is patience game. i dont care to reply why sales are not increasing. note: i am an individual investor with no relation with any forum members.
it is a regulatory formality . there is no success or failure attached to it .perhaps there has been no case ever where in such open offer , price has been revised unless there is a competitive offer .
all Eligible Shareholders holding not more than 547 Equity Shares as on the Record Date are classified as Small Shareholders for the purpose of the Buyback. if i WERE you , offered all 384
the entitlement ( FIRM ratio on offer ) is 5.16% in RESERVED ( up to 547 shares) category and less than 1% in GENERAL category .
23 June to 6 July . it has to be executed through broker where you have your trading account.
It is the normal process and last time company did something perhaps unprecedented when it deferred buyback approval by board . i do not remember any co board did before at least in buyback .Rather nowadays too much traffic on if at all , tender style buyback road thus throw a very poor entitlement and final acceptance ratio unless you are doing 1 share offer .
Kotak Mahindra Bank hikes savings a/c rate by 50 bps for deposits of over Rs 50 lakh. Term deposit rates have also been increased by up to 0.25 per cent, the city-headquartered lender said in a statement.
34000 is coming soon....within 30-45 min. sit/relax/invested all CE holders boom by 3 pm
Hero zero 1 more jackpot call π RISKY can buy this Nifty 15450 Pe Buy Above 12 stoploss 00 target 30/50/70
Metals are falling due to recession news. If recession comes EV sales will also drop. Thats why Sona blw is also falling. Retailers aint selling yet, its the FII & HNI booking profits.
Nifty recovered 200 points, Sona blw still struggling to hold 550. It seems like pump & dump to me. Closing below 550 means more selling tomorrow.
L&T soars as its arm secures three offshore packages from prestigious overseas client