following MMB code of conduct: official page anibillion/anibillon is a chief economist and a financial analyst and also a technical analyst cum portfolio manager and also a global venture capitalist (one of the most successful global traders and investors with excellent visionaries). I am working as an economist cum financial analyst (and also policy maker) more than 12 years in global market. i have my own investment firm (my firm mange so many top qualities diversify investment portfolio including corporate, NRI, HNI and international retail investors in global market).
Shriram Finance share is currently trading at 3,186.50, showing a strong bullish trend characterised by the formation of higher highs and higher lows and a reversal from support. The stock is on the verge of breaking out of a consolidation phase, which confirms its upward momentum.
On Marico stock's daily chart, a breakout at the Rs.615 price level has been observed, signalling a potential upward trend. Complementing this breakout, the RSI is still turning up, indicating increasing buying momentum.
A notable bullish reversal pattern has emerged in the stock's recent short term trend analysis. This technical pattern suggests the possibility of a temporary retracement in the stock's price, potentially reaching around 1375.
The stock has substantial support at Rs.258, marking a crucial juncture in its recent trading. At Rs.264, the stock has demonstrated a definitive price-action reversal, suggesting a potential continuation of its upward momentum.
FII increased stake from 13.37 percent to 15.82 percent in sept quarter , specially when FII was continuously selling Indian equity .. Results were good and debt free status of company will attract more buyers .. order book is strong .. hold tight renewable energy stocks ..
karnataka bank is the cheapest bank now in the banking sector . RETAIL boost is going to improve further and the eps my cross Rs 42 and the book value may cross 325 very shortly.
Refexs Green Mobility segment is rapidly expanding, with 765 EVs and plans to grow to 2,000 vehicles by the end of FY25, focusing on corporate employee transportation.
Almost 1.4 crore shares traded in the level 1281. Looks like block deal is happening and mostly its purposely brought down to this level for this deal to happen. Once deal finishes can shoot upside also
Buy with a target of 5800 in very near future. 2 to 1 bonus may come with hefty dividend
53300 will play good and operator seems too strong levels to buy... for target 1000 upside 54300 54500
max life insurance is a joint venture of max financial they are not giving claims to policy holders and doing unethical practices stock should not grow any further bad corporate governance.
we can see more fire here in coming days and keep eye on all index for new highs
Nifty-50 crossed 25,000 now for the first time, a new mile stone. Market will go much higher in next 5, 10, or 15 years. But don t forget, markets do correct 10, 20 or 30 percent in between. Think long term but be ready for corrections.
Now most of the retail investors have been annihilated, most likely big positions will be built
finally hindalco moving above crucial 670 level and holding for more than 1 to see good moves ahead from hindalco.
Whenever expected adr price, not considered here. Again proved one again. Many long people all were losen on last session. CRR 50 BPS cut is favour max high lending banks. But last shorters control. Strong buy soon 52 WH. show
strong buying along with short covering seen in ioc, it is heading higher. buy ioc quickly
The company and International Fertilizer Development Center (IFDC) have signed a strategic master research agreement to foster innovation and sustainability in fertiliser development.
The company has inked a contract for the construction and delivery of the second ship from a series of four additional 7,500 DWT multi-purpose vessels in Germany. In September, the company secured an order for the construction and delivery of four additional multi-purpose vessels of 7,500 DWT each.
The cigarette-to-hotel conglomerate is expanding its network of FPOs, further aiming to connect one crore farmers in the next 4-5 years and scaling up sourcing of fruits and vegetables through this platform, said its Agri Business Division CEO S Ganesh Kumar.
The RBI has approved the stake sale by Canara Bank in its mutual fund and insurance arms through an IPO. In March 2024, Canara Bank received board approval to sell stakes in the two subsidiaries.
On December 9, the Vi board will consider a proposal to raise Rs 2,000 crore from entities belonging to promoter Vodafone Group through a preferential issue.
banknifty to meltdown at any moment .must buy nearest PE ... good luck guys.
Its also Retail Participation. Because if have to analyse Data in this series, Pretty clear OI on Nifty Weekly has nearly doubled, means BN writers have also took Shifting to Nifty now, that is sure to lead auch volatility. Now its important to look how Lot Size revisions fare out. Does that reduce out these penny writers adding chaos to Index.
Company debt equity ratio is very low. They can expand by raising debt. QIP is not compulsory. QIP only after stock rerating.
Nifty back in action, momentum expected to start after long period This to cross 850.
Indian metals 5 percent up new highs, from 280 to 930 now, more than 3x.Full life time jalwa pending here,enjoy the moneyrain frnds.
technical pattern suggests the possibility of a temporary retracement in the stock's price, potentially reaching around ₹46.
In the recent short-term trend analysis of the stock, a notable bullish reversal pattern has emerged. This technical pattern suggests the possibility of a temporary retracement in the stock's price, potentially reaching around Rs.1,335.
A notable bullish reversal pattern has emerged in the stock's recent short-term trend analysis.
the stock has produced a notable higher-high and higher-low pattern, and the company's recent upward swing has effectively violated the neckline, establishing a new week high.
After a period of small falls and sideways consolidation, the stock has lately broken the neckline levels of ₹315 and is rising quickly on the upside with substantial volume.
Not easy now in any case to trade more then 10 percent up from QAP price . So 120 will be the max till march 2025.
banks performance has improved and not its stock price. Price may follow performance. hold and buy at dips for long term
if this script cross 750 then next target 900 plus is open because from long time this stock into stages of the consideration
There is something fishy going on in company not showing proper picture of NPA and ultimate loss due to RBI ban on giving new loans
Excellent guidance given by Kanodia for the future qtrs od FY 25 Accumulate and HOLD
Going against the majority is the true way to make windfall gains in the stock market. This is one place where trying to fit in can be a giant market
Date Not yet announced by the PFC co. expected. q2 results during second week NOVEMBER.
US election is tomorrow then how can the nifty will fall to 22000 level in one day....
Really good time to buy... this who has can add, those who dont have can buy at 730. Excellent opportunity to buy and hold for 1000 plus in very short term....
BIG NEWS FOR RELIANCE IND FROM REUTERS RELIANCE INDUSTRIES.CO AIMS FOR 2025 RELIANCE JIO TELECOM IPO, RETAIL UNIT DEBUT MUCH LATE
buyback date already announced,open on 30th closes on 6th November,settlement date 12th Nov.2024 as per innocent on bse and printed in newspaper today
Let tomorrow mark the worst expiry in the history of Indian market.. Already October has turned out to be the worst month.. There is nothing to be positive with our market right now..
already all big guys already know the results , thats why stock hammered in last 15 days. Q3 should be good
This share has ditched retail investors and with good results also share price going down.Exited with marginal profits.
Zee business recommended to sell it means it is going to blast today... may cross 850 today
last 5 years it between 12 to 24.. so its almost at high level now .. so it should correct to 12 or 9 before it can move expect heavy correction and profit booking now.. price will come 12 then buying can increase . now its best time to sell and exit.
18000 to 20000 levels on target by year end.. exit all holdings immediately..massive mayhem and bloodbath..
Rajapalayam Mills Ltd also bought 3,391,500 shares of Ramco Industries Ltd at the same price of Rs 232.05 per share.
Bholaram Agarwal sold 148,514 shares of Sah Polymers Limited at Rs 105.31 per share.
Silver High Made 95388 As Of Now Which Buy Initiated 91300 Now It Is Up By 4088 Points, Booked Full Profit And Silver Buy Trade Closed With Handsome Profit, Silver Sell Cmp 94800 SL 95400 Tgt Open
Fccb fund infusion all been decided. 51 is the rate. Do any fools if thinks continois LC should chk their mental stability. Maximum 47 to 49. Somewhere here it should rebound
Nilkasto...JSL management has been recruiting staff like crazy...JSL business is set to Grow exponentially during the next 3-4 years
bonus share record date will be between between 15 to 30 October announcements will be after 14 oct
MCX has run up too fast in the last six months so the jump from here could be restricted. MCX can easily still outperform Nifty over next few months.
what is cooking in felix Or other growth trajectory will be the outcome of reaching it 10 in six months to one year.
buying opportunity , Auropharma must par 2000 in short time, grab thus opportunity fast.
refex gaining will be continue as BSE stock gained 250 level to 2700 buy aggressively hold tight.. tight seat belt...1000 candidate...
board approved to issue equity shares by way of preferential issue as per resoluton plan approved by honble nclt, kolkata bench . aggregating up to rs. 1,00,00,000
Every mania cools down someday. Institutions definately know the game better than anyone else. The fact that these new writers emerged from Copying Strategies During Rigi Boom phase, someday they were to face the brunt of Markets.
BLS International Services has signed a definitive agreement to acquire a 100% stake in Citizenship Invest, a Dubai-based advisory firm for $31 million approximately Rs 260 crore.
State-run engineering consultancy and EPC company, Engineers India Ltd has secured new business worth Rs 4,681 crore so far this fiscal year.
Swiss authorities have frozen more than $310 million across multiple Swiss bank accounts as part of an ongoing money laundering investigation into entities allegedly linked to the Adani Group.
HDFC bank next target on Monday is Rs 1684 the rally will continue for some time
mutual fund selling big player buying Every year double up to five year 1₹ become 32₹ in five year
Biggies would have got the advance tax paid data for top cos. last two days and that could be the next trigger for markets in coming weeks as part of the data slowly comes out to public domain.
sell on each rise daily 2 percent gain till September 690-730 range bound
yesterday in US 1 trillion dollar marker cap vanish means 20 percent of Indian stock market cap so you now understand what is the problem start now same like 2008 and always globally market crash after problem in US market and global market will crash after 7 -10 days US market correction
Tech charts are super bullish, Buy on dips around 57-58, Next target 67, 75,and 3 digits by early Jan. Definite hold for long term portfolio.
current price looks superb buying opportunity, all positive news, evan Qib issue subscribed 3 times is shows strength of this company, big dividend also coming soon , demerger also on the way , grab this buying opportunity immediately, target 700.
religare mgmt is working for self interest, they need to understand this is not private company and they are answerable to shareholders and regulators
bank nifty will trade in green if nifty closes in positive territory. there are every chance that nifty recovers another 100 points from days low.
Nifty July Fut Low Made 24281,55 Sell Suggested 24470, Down By 188,45 Points As Of Now, 1 Lot Trader Booked Full Profit, Risky Trader Book 50 Percentage Profit Remain Hold With SL Cost To Cost For 2nd Target
Its a fake news..at top someone wants to sell big quantity...thats why it is spread..check before investing.
nobody can stop its crashing buy put or fo for sell .very bad crash will occure .
Very positive news will be announced and very positive sentiments can be seen in tanla from Monday onwards. Fingure crossed.
revised stop loss from 36.50 to 36...............................rebuy target is same
i was expecting profit booking at 17800 in nifty but later found that 17734 is all time High trend line. if breached it ll be breakout n not fall. hence shorted at 1300 hrs candle for flood gates.
Dear frnds one can look into IRCTC cmp 742 nd dips for long trm,always make own research first !
kabra rockingg and preparing for new highs,initially suggested at 130,enjoy the moneyrain frnds !
Dear Frnds one can look into India glycols cmp 870 and dips for long trm,initially stock was suggested at 129 in 2016,always make own research first !
Dear frnds one can look into APE cmp 6.5 for long trm trgs 11/15 and more with et 4.1,always make own research first !
close watch movement of dow this index same pattern indian market dow jones closing flat or 50plus positive zone almost downside over
Subex get fresh order from Ethio for telephone solution. Another good news for Subex.
Great Journey of Apollo from 160 to 250, now ready for 250 to 315.... Gem of Tyre Industry
Nifty next week nearest PE and CE are costing only 130rupees approx. which is abnormally low for a THU closing, with five trading days. Expecting at least five hundred points swing this week.
Congratulations ! Means Pls think...if u write here at entry time more people can earn & give u blessings.
adani green face value is Rs 10 and sw solar Re 1,Now decide which is more valuable
Bank nifty dances along with ICICI more than HDFC bank. But more recently to every other bank in the portfolio.. whichever it can use to maintain higer values.
No emotions 17900 ke uper morning open hua to bhi exit karo otherwise decay hojayega and below 17900 exit as early as possible. Kal short sellers bhari pade to ye log 17900 se 17800 ke range me market ko phasa daalinge full day
Ride to continue with profit booking intervals. Price may cross 2000 gradually
Its in a bull run. Buy IPCA labs for huge profits. Next targets --- 985, 1010, 1080, 1300
Next result time it slowly will go again 0.85 paisa after result again will come down 0.70 paisa super duper drama ha ha ha rocket going to die
offer price wont be increased.they dont want to buy shares from public but open offer is compulsory as per Sebi rule
Now Resistance time over - only PE, mark my word I am not doing FNO but my prediction is bearish from Here
Adani ports rocckingg 3% up,towards new highss,initially suggested from 260 cmp 790 !
earlier i posted....(buy buy buy bajaj auto near cmp 3853.85.... target...3950/3980/4050)mu all target crossed today now 4091.20..... enjoy money rain friends.... keep use trailing stoploss....best of luck...
People did short Muthoot Finance due to below expectation result.. Manappuram got the hit as a collateral damage. Hold it without much worries. Should be able to see 200 within a 1-2 quarters
Mr Rajinder Gupta still controls the TRIDENT through 72.24% holding in the company.
HAVE YOU SEEN THE INVENTORY BALLOON? IS THIS STOCKING UP FOR THE BUMPER QUARTER.?
Rakesh jhunjhunwala pass away today its shocking news for banking sector he told dont invest in Telecom sector so now avoid Banking sector barish mode on now telecom sector boom 💥
Very Sad to hear the sad demise of our hero ace investor Rakesh Jhunjhunwala ji .Bhagwan unki aatma ko Shanti pradaan kare .
V i quietly deployed 5G technologies Massive MIMO, Dynamic spectrum reframing, Cloudification of core, Automation & Artificial Intelligence. V i moving right direction
No reason why so much runup but markets can be unrealistic at times . I can not trade against the markets , if it wants to go up on big money we can not stop so then only way is to go with the market , on Tuesday I will buy on declines .
ICICI Bank shares today rallied 2 per cent to hit a 52-week high at Rs 866.15. The stock of the private lender also crossed a market capitalisation of Rs 6 lakh crore for the first time.
once the QIP price is declared the real game will take shape last 10 trading days flushed out lot of short term investors
both index overbought Nifty and Banknifty. And strong resistance ahead.. high chance of pullback.
900 in 3 months before next results sure. If u want money buy and hold no stop loss till target achieved.. Best ever performance in thus stock better than pre pandemic it will continue..
lost my hard earn money in this share I have 50000 shares average price 11.35 is any hope of listing again
let them realise....all positive guys will trap all me... they are pulling me to buy in this stage...but i will not...
India inflation numbers are out July (Current) inflation came out at 6.71% Inflation in June was at 7.01% Now possibility of Export Duty removal increases.
Dow will close in red only...... strong employment data means intermediate big fed rate hike
Chennai ferrous may rise again with next good result but needs patience.Alternatively Garbi finvest is high growth low PE stock with multibagger ability
Declaring a dividend of 0.5 Paisa was unwarranted. Management could have skipped this year if they so desired. 😡
Crude oil prices are going down regularly, its very good for Gokul as it consists 70% of material cost. Profit gonna increase in the 2nd quarter by a lot. Keep adding this gem, its gonna make you all crorepati 😁.
Department of Telecom (DoT) has allocated 5G spectrum to Mahanagar Telecom Nigam Limited (MTNL ) huge buying expected on Monday
support at 37800 resistance 38000 whichever sides break take trade in that direction
buy Nifty 17300 CE at 65-68 today its definitely hits the target price of 86-93
IDBI Bank Share with face value 10 is better than YES Bank. No risk involved. Good Buy on every dip like SIP. I am buying.
Futuristic stock must be few quantity of this stock in your portfolio .............
Ajmera Realty soars as its arm acquires property from Tata Communications
tomorrow result. thinking to buy awl (its not showing any downside move). lets see if it sustain above 700 then will buy (but with such scenario conviction level 0.001%) . but tomorrow will decide after result.
Had purchased 1L shares of battery maker Romeo Power in US market just a week before at 0.5$ rate. Its already 30% up in pre market 🤘Bull rally everywhere
Buy Bajaj Finserv Buy at 1547 Tgt will be 1800 sl 1510 zoin smgoriginal ontelgrm 23k pluse subscribers
Long term target Rs 3000, within a year. Suggested to buy on dips. Enjoy the rally based on good numbers.
70 percent of the 5G auction is complete...minimum ten words minimum ten words
cool Dow may test max 32100 levels...from there we can see min 800 points fall and our sgx min -250 points fall...
really confused about employees allotment price, is there a lock-in period for the allotment at 1₹
This is a fundamentaly strong company with a high dividend yield and low PE .A must have in your portfolio.Just track the net profit during the last 2 years.It has more than doubled during the last 2 years.
This is the only form where investors can express their frustration and by chance if suzlon management looks at these forum, can understand how investors are frustrated
I again telling u all tommorw gap up open happens buy today hfcl fast 69 to 71 with In 2 days
ICICI BANK NOW SELL ON EVERY HIGH MARKET TRADING DOWN SIDE NOW A DAYS FOR MORE CON THIS NO
Last five years ABSOLUTE Returned of BANCO PRODUCTS is negative (-20%) where as TALBROS AUTOMOTIVE Returned is ( 140) % both Auto Ancillary company
Flag Finin is a good stock for long term investment. Another stock which is good for long term investment is Creative Eye ltd.
so keep buying its going to grow superb 10 times investment tgt even also keep buying aether ind its also 10 times tgt and clean science 4-5 times tgt
bank nifty can move till 36880 for axis bank results, from there it has to do the corrections axis bank may move 20 points upper side, but not more than that. tomorrow market will be decision making day plan according to that.
The risk reward ratio is not in its favour, overall markets seem to be in the rebound, booking ones losses in Zomato and reinvesting in momentum stocks will give a better return over a 12 month period than staying invested here.
ICICI BANK next week target 900/- due to the good quarterly results and overall market optimism.40/- jump on Monday itself.
Moreover what is companies erm strategy what they disseminate in annual report and what they give opinion in public is different
Some pupil gaved ads . Missing shares transferred to lenders . Zero debt how lenders ? Also pledge shares less . How 19 crores swapped for 1 crore pledged shares . Not transparent .
Those with huge holding in IEX can also consider some lightening up i.e, unwinding as it could be heading for decent correction towards hundred forty levels with increasing competition.
result not good. monday downside tgt 2-2.5% in reliance. short sell tgt 2100 and within 12 months can be corrected upto 1800 level.
There is a reasonable co-relation between DOW and Nifty. DOW fall from high, leaves another five hundred points fall due in Nifty . over the next few weeks they should adjust anyways.
RJ AND TOWER RESEARCH / ABU DHABI INVESTMENT ALSO CHEATED BY THIS JUNK.....
Thanks for the information I try to find the detailed results in the news channel, great relief...
at 300 , order of 5 lakh shares are placed by a big investor . Lets see how this goes.
buy bank nifty future at current price within 2 dyas bank nifty shows 35500 target... sl 34650
already strong subscribtion and buy suggested on listing for tgt 2700 and so on. just keep patience. great going
guys market all about buy sell and hold. so bear also have full permission to discuss Lower level. its as per nmb code of cony
FII have have resumed selling heavily and they have sold index futures as well in huge. I dont know how people are bullish. if not tomorrow by expiry market is going below 16k.
its trend line touches 462 rs to 712 rs anytime big upmove possible buy friends long-term target is very appreciated
as usual Nifty will close flat to distribute first day options... nothing more cannot except...
once again.people r trapped above 58rs .now buy once it cross 59 upto that now wait n.watch situation .
once again.people r trapped above 58rs .now buy once it cross 59 upto that now wait n.watch situation .
awl finished. soon 360 done. all adani stocks going to fall badly and justify with ultra high valuation haha
Nifty is going to touch 16300 from here . Heavy buying seen . Buy CE without second thought
Sarda Energy is one of rare companies identified as stuborn to rough condition to market one like the present. If some body has past records of market movement and this company share value, they can figure it out. But believe me I have observed since last 10 years Sarda energy always stood tall during crisis. This shows the strong fundamentals and tight spending. Now it has grown big and so as the returns. Those who have patience will invite big wealth in next 6 month investing in this company by earning atleast double.
any good news, share never move, just hold even small Qty and enjoy dividend. safe and like bank FD. nothing more. price range 58 to 72 maximum from long time. 79% holding government. no way . buy small and just hold Rs.1.50 dividend.
Operator seems to have succeeded in his mission to frustrate Investors and so capped the counter in the range of 8.25 to 8.75. However, I am optimistic about next range of 8.75 to 9.5 and so, have gone for a long position for short term.
weekly PCR kuch jarurat se jyada hain..may sudden crack..500 points...stay alert
Right time to buy and hold for prices have fallen substantially from the top.Expect a price of around 2800 by mid October.
2 New Products Launched for Domestic Market Fungicide for control of early blight and bacterial disease in Tomato. Herbicide for maize for control of Cyperus, Narrow and Broad Leaf Weeds
BULLS ARRIVING.....AFTER 2 PM YOU WILL SEE THIS ABOVE 100....TOMORROW 130 WILL OPEN.....BUY IMMEDIATELY
Signs Concession Pact With NHAI For Road Project Signs Pact With NHAI For Rs 1577 Crore Project
Smart Recovery seen.....Fii buying.......................on Rock Nifty.........up up
pure trap by operators. retail investors be careful. the rally may fizzle out at moment. book the profit and get out of market for today.
As mentioned on yesterday banknifty Just kissed my target. Now need to cross and hold above 34350 level for further uptrend.
Buy "SHARPLINE" & "" & "LESHAIND" & ABHICAP 🆙Ext Time nw: Book profit 💶💶💵💸🏃go
when cotton prices incresed company has pass on upon customer and now decreasing the benifit company pass on customer. nothing is benifit or losses.
Today After 2:50 pm Cross 2150 easily... tomorrow 2300 cross and next week 3200 so hold tight and enjoy..
Slow consolidation happening. some good news waiting , those who are bit aware are accumulating . most likely to touch 4 in coming week
This Dumb stock again from days high to day low....Again below 600..... Zero Movement overall
Very sad that this is happening to this stock today...frankly speaking this script down even deserve consolidation.
At 1.35 pm. PE additions at 530k lots and CEs at 210k lots. Nifty can get into absolute eating zone. Can trade in plus hundred sixty to plus sixty levels. Rupee down fourteen paisa. hold on to shorts.
Dollar index is surging up. There could be possibility of temporary down side, we may see 215-214 levels depending on dollar index predictions.
fundamentally good share ...please buy this level... expect a gap up opening tomorrow.
2 bulk deal same rate firest sell second buy second sell firest big house fund only retail investors se maal nikle ke liya yeh planning ho rhi ha
It can touch 380 to 430 levels so dont for quick buying . wait for a dip enter in sip mode between 380 to 430 levels with strict stoploss of 370 on closing basis. Waiting and watching.
Theyll buy from open market of around 7 lakhs of shares at the price of 1700 Rs. wit the value of 120 Cr worth of shares. Such a small cap Cmmkany and look at their vision. Excellent corporate governance. 👌
kal dekhna sab mil ke operators ka game kya hota ha. chote player ki kya halat karne wale h y. pe bhi katwayege ce m faswa denge.
we are enjoying the moment. market finished. adani share also finished. 🤣. keep shouting. 2000 bla bla. not going back to 850 level. but easily means very easily going to touch 450. koi jaldi nhi hai. aj nhi to kal 450 ho jayega
click here awesome going soon going to be 1200 but avoid fresh entry. a great company. old favourite
i have also heard that this million dollar revenue company doesnt have a proper office, and works from a hotel room.... is this true?
in bal sheet 20-21 show gaurantee given for rcap rhfl but showing no gaurantee in 21-22 pls clarify if any one know
Current market cap is 200 crores. what is debt? anyone can plz answer...why big companies like Aditya birla or arvind fashions is not buying this company as this company has good brand image...
wipro adr also going up...so keep investing in wipro....dont sell single share..keep SL 399
just mail or add us on hangouts (niftybank28 at the rate gmail. com) hurry up i made my 4.5 lac loss covered in-single day. Those who wanted to earn and recover huge losses just invest 1 lac with return of 5-7 lac in week
saboo sodium is going for unchartered territory even if it is so for short term.
The most difficult task in stocks is being sitting idle and watching the stock price without action. Do what ever you want to do.
future looks bright here, if market gives helping hand, it can be a decent returner.
stock is consolidatng with heavy short build ups like it did when it was around 2200 ... inverted flag pattern on day chart...more fall will be seen in upcoming session....clowns should hold their long position....
strong resistance at 65... we can see some up trends in Nalco. next week target 75.
time for 10-15% recovery.... copper plan contribution is not mare than 4% in total revenue so that news sentiment cant drag this stock further. also, metal price is stabilizing so this stock will swing between 230-260 for few weeks.
450 this week most probably. but thats not important. important all adani stocks going to fall massively and significantly and will not recover.
no absolutely fine balance sheet. its best time to invest in clean science. clean science multifold in next bull market after this big bear market. but adani stock not.
Asian refinery benchmark margin is at highest ever 35.12 dollar. Hopefully it will reflect in shareprice too within another 2 weeks.
ohhh tata steel soon 760 and even below 760 convincingly 😊. no one can stop it.
adani wilmar 450 this week most probably. but thats not important. important all adani stocks going to fall massively and significantly and will not recover.
no absolutely fine balance sheet. its best time to invest in clean science. clean science multifold in next bull market after this big bear market. but adani stock not.
awesome click here already positional sell suggested at 710 for tgt 640 then 550 then 480 great going.
short sell - My target for Hindustan Aeronautics is Rs 850 for the short term with a stoploss of Rs thgtrh
hahahahahah guys click here click here short sell suggested at 95-97 for tgt 75 done. next tgt 60. nothing there in sail
awesome click already positional short suggested at 520 for tgt 480 then 400 done next tgt 320