Preeti about info comming soon...
I will buy this stock at 20 RSI level which is now at 29..... to know more follow us on https://t.me/sensexnow
earlier i posted when 520.10,,,(buy buy buy canfin home cmp near ........ target 570/580/600 .... already holder dont panic.... fresh buy good entry level.... all the best...) today now reached 569.80.. enjoy money gain friends.
Bank nifty will cross 42000 tomorrow. gap up of minimum of 300 points.. to know more follow us on https://t.me/sensexnow
Bhai Adani gas 3 days 2000 adani ji should open lc .... to know more follow us on https://t.me/sensexnow
Last 40 minutes short covering coming... shorter are trapped in morning..buy for target 324 today
This stock will touch 440 levels, looking weak at current Levels on charts.. to know more follow us on https://t.me/sensexnow
17650 is now playing support n pivot point guys.. downside is limited... 17250.. go buy ..... to know more to know more follow us on https://t.me/sensexnow
4000 very soon. My personal views only.. to know more follow us on https://t.me/sensexnow
PSU Banks yearly LOSS was 85000 crore which has now become One Lakh Crore Rupees PROFITS an year. markets yet to reward this.
market minimum 300 up tomorrow to know more follow us on https://t.me/queenoffutures
Before budget 18500 touch to know more follow us on https://t.me/queenoffutures
42900 bhi khulega to niche aana hi hai kal market 42500 jaayega hi to know more follow https://t.me/queenoffutures
keep in mind its forcely in green.. massive bleeding in 80 percent of stocks ..exit all holdings immediately..nifty is not impression of overall stocks as its driven by chosen stock..17200 target intact by monthly expiry.. to know more follow https://t.me/queenoffutures
book profit and exit target 3200 12 month - My target for Tata Elxsi is Rs 3200 for the long term with a stoploss of Rs 7500
FIIs are still short, no changes on trading values. Be cautious as they may push the index to 17000level the way selling is ON
bank nifty took little breath..dont underestimate.. tomorrow it will fly like anything
Exit this stock or you will loose hard earned money any time will after trapping the buyer
Buy LIC-Life insurance corporation before union budget we may expect decent gains of 850-950 and 12 month we may expect 1500 accumulate as much as you can
RIL : Intra day target : 2590 , buy buy buy in this nuetral counter...add to ur portfolio...short term target : 2700
TD 71, A big party at 1500 but a Great Party at 2000, I promise .. . . . done
The way these positions sre bottling up, there is avery high chznce of us breaking the 17450 17800 range before expiry...and thats going to be a big enough event.
this market there will come dip buy on dip market so book your profit both side now again buy at 39800 closing above 39950
It is fair to expect closing minimum not below 17.00 the weekend to inch towards or just cross 20
not trustworthy stock. it has stuck betweenRs. 122-124since long time. operator & promoters move it. better avoid this stock......
Let it cross the 77 hurdle to move past..there is no hurry for upper circuit let it go up slowly and steadily it"s safe for the investors
very strong selling pressure near 2555 levels tried 3 times to break it but failed. however, lets on closing basis if this will be able to close above 2555.
With expected revenues of above Rs 3500 crore and FY23 EPS of around Rs 12, Sutlej Textiles & Industries should give returns of above 80 per cent over an year.
46972 Bank Nifty any time will be suddenly jump 46972 and Nifty anytime will be suddenly jump 20776 and 46972 Bank Nifty any time will be suddenly jump 46972
looks like that selling pressure is over. post q2 results price will be above 300
Navabharat Ventures at Rs 217=Hold on yur shares as very near term , may be 2mrow itself Strong Reversal is coming
Should. Stop at. 58. Else 48. Else. 38. May. Not. Fall below. 38 . Support At. 58, 48, 38. Levels. Let us. Wait.
JSW energy new targets are 550 plus. Huge buying in a falling market. Enjoy the rally.
if the stock closes above 2460 today then dont sell..this will be uptrend upto 3000/-
Jagsonpal Pharmaceuticals trading at 77 PE due to some take over, I hope some acquisition news from Kopran will pick up the momentum
asia and europe markets are down enough...and if nifty closing below 17500 today then thats not a good sign and then it can go upto 17300 and then 17100 in some days....
This is a great stock, will show 400 definitely, buy before 340 for gains. short term sell at 400 long term 600
Buy NTPC target of Rs 188 Emkay Global Financial is bullish on NTPC has recommended buy rating on the stock with a target price of Rs 188 in its research report dated August 29
Nifty spot has sustained above 17 630 which was resistance in CPR... So the next alive resistance is at 17 710.. With 17 600 standing as current support at 1:06 PM
Worst is more than priced in for Auro. In Too much oversold position. Things are improving & Auro will trade above 650 soon.
After consolidation stock is ready to go ahead minimum 860 with in few days ......... Long term should hold ..................
tomorrow morning NIFTY open at 17180 see what happened in dow also 31800 and NIFTY BANK Also 38000
Indiabulls Vent- Next 2 months or so this will be at 140....Keep buying from current level
last quarter results is outstanding we can see a solid recovery in this counter and easily cross 2000 level in short term hold this multibager stock for more gains
Not so bullish in metals Wait for 80/90 levels in tata steel, till then invest in stocks which already trading at there 52 weeks gems like BIOCON can do well from such level
hold guys...it will close above 53 today...very very bullish chart pattern...and there is something hidden good news in idfc first..
for short to medium term i will go buy on dips it will shoot up to 630 levels anytime
stock might be gearing up ,a move on either side weekly close above 102 will open new range
its competitor lasa supegeneric is on circuit today. Above 98 we can see a good upmove here as well.
My target for Metropolis is Rs 1700 for the short term with a stoploss of Rs 1200
Future is with Power only.discones most benifted good level for buying 120 rs target
FII mutual fund entered congratulations UC to hit soon this will not stop now tgt of 32-36 easy🙏🤞🤞🤞🤞
as told it cannot sustain above 38500, some are dreaming of 40000 in this expiry.. 😂😆
• Canara Bank with 9734 branches and 10817 ATMs has clocked 69% higher Q1 EPS of Rs 12 as against FY22 EPS of Rs 32.5. A likely EPS of Rs 50 in FY23 could take its share price to Rs 350 at a P/E of 7x.
Buy Archit anitime upper circuit dont miss buy jaldi jaldi jaldi target 125 plus move on
hope to recover 50-70 rs at cmp 4150 before closing.....buy for huge returns
if nifty can cross 17800 and above then nifty can go upto 17840 to 17850 on closing basis then bank nifty to recover and move up till 39200/300
Suzlon looking very strong... on the verge of breakout... Nifty down 200 but suzlon moving up ... Strong rally expected... Hold your investments patiently
At 2:33 PM The OC in the range of 17 500 to 18 300 is showing Call additions at 769K and Put additions below 100K at 97K.. But what I see is 17 800 is having hardcore Call written above 100Ks.. and 17 700 is having Well Pit
Dow future & Asian markets are in negative and some pressure transfer on nifty. Nifty will close below
6 The possible targets are Rs 1,050-Rs 1,400 in the next 6 months. If the stock price corrects downwards the buy levels are Rs 749-720-696-672-659. A stop loss to be observed in the trade is Rs 595, recommends Gala.
massive profit booking on the nifry coming before close...nifty may fall by another 10 points...please trsde with stop loss...qe may actually see nifty at 17915 once before close.
it will now show up going above 39175 tgt on closing basis near 39300 may touch 39350 and above in another one half hour
I think Tyson trader provably has a good strategy...but Sept end puts...maybe sell 18k or 18200 puts afainst that for the short yerm and buy this weeks puts...just to limit the downside lisses on the trade.
Dhunseri Ventures , which is into polyester and PET packaging is diversifying into film packaging and notched 82% higher Q1EPS of Rs 50.4 against FY22 consolidated EPS of Rs 102.5, which may lead to FY23 EPS of Rs 160 . Buy for 40% gain.
Mahanagar Gas the sole distributor of CNG and PNG in Mumbai, Navi Mumbai, Raigad, Pen, Uran and Karjat is undergoing expansion. It notched Q1 EPS of Rs 18.8, which may lead to FY22 EPS of Rs 80 in FY23. Buy for 25% gain.
Triveni Engineering with 7 sugar mills in UP with 61,000 TPD total crushing and 660 KLPD distillery. Its power division making turbo gears, too, is reportedly going great guns. The scrip may turn out to be multi-bagger in about 2 years.
Upsurge Seeds:- FAIR VALUE I THINK 300 ALMOST 100% GROUTH IN EPS FROM 3 YEARS 2022 EPS 5 APPROX. 2023 EPS 10 APPROX. BSHSL PE 38 USA SEEDS 10 X 30 = RS 300 ( Conservative target)
Sales Cr, Net profit , Eps 5.43 Excellent Results for ending 30/06/22 , 1st quarter Share should go up..
400 very soon then after 600 & long term target 1000 to 1200 indias defence sector is going very strong & it will reach third rank in the world very soon
Yes,I very much wanted to buy next weeks 17500 PE so got out .Next week expecting Nifty to go upto 16800
BUY APOLLO HOSPITAL 4395 TOMORROW MORNING TARGET GO FOR 4448/4495 SL FIX 4370
Keep trailing sl from new 52w high 😂N if close any day below 13.48₹ sell n wait for new lows
nifty made low 17215....75 points down and banknifty made 37632....300 points down still holding
INDIAN GREATEST NIFTY OUR SMART OPERATORS DEFINITELY TAKE IT TO 18000 NO DOUBT TODAY MANY GUYS BOUGHT ON DIPS CHEERS THUMPSUP TOMORROW 17600
even 200 become big hurdle for this scrip whereas other scrips easily touching new high
Hope conservative have booked profit in Castrol India and trailed the sl to cost, Target done!
market will not fall till 17800...dont short and expect market to fall...down Jones 250points down still sgx nifty up 60points...just assume if Dow closes 250points up then where would be our sgx?? ...
Kal girega pakka...Accumulate around 280-290 range and wait for 2-3 years to see the miracle...U will get 3x at least for minimum...
Bullish Price Targets for Sun Pharma: Dolat Capital 1150 CLSA 1140 Icici Direct 1125 HSBC 1120 MOSL 1100 Nomura 1095 Jefferies 1089 Systematix 1084 Icici Securities 972
BUY NIFTY 17300 PUT ABOVE 115.65( AVERAGE AROUND 70 - 75) SL BELOW 62 TGT 135 and or 160 - 188 of 4 AUG
JUST BOUGHT 17300 put let s see HOPING TO MAKE A WUICK PROFIT OF 50 to 60 Thousand let s see
17800 PE looks fine.17200 call premium is already costly.What if Nifty closes at 17200.You will be in loss in this trade
None of this Analyst will tell,Dow is guiding Nifty and can sink Nifty even fast.Those who have understood this co-relation between Dow and Nifty have made good money in last 3-4 months
This company Going to give bumper results friends BUY AS MUCH AS YOU CAN LGBFORGE LTD MULTIBAGGER STOCK CMP 11 target 50 in a year
Petronet to post good 25% profit up YoY, at good support of 218, fresh investment idea for 270 targets
Watch out HDFC Life, 70 lakhs volumes with FII buying strongly, watch out!!
Hi Saytam - If you can hold till 2023, your levels can be seen. Happy investing and I am available if you have any questions
Hi Sapsai - You are already in 30k profit, if i were you will book 50% profit and trail the SL to 310 well above my cost for balance 50% rest choice is yours!!
tomorrow my analysis if dowjones closed above 32060-32090 , tomorrow huge movent possible in indian markets . otherwise flat
I am saying since so many weeks,buy deep ITM options.Even with all the drama today,as I have bought 17100/17200 PE,my day ended at 10.5 lkh notional loss.My breakeven is at 16600 and I am expecting to end the week tomm at profit
Brilliant absolutely brilliant results posted by Coromandel and Bajaj Finance today now wonder going towards new 52 week high!
Hi Sarma Jee - IGL remained flat throughout the day so one may have exited and buy Bajaj Finserve as BTST who is expected to give Bonus or stock spilit news tomorrow along with strong results! In options one need to catch the running bus and book profit while getting down in running bus only. Hope this helsp!
Dear Ashwinsr Jee - Yep certainly positive news for PVR and I am very positive on PVR since 1500 recommending to buy PVR, just trail the SL to 1850 now and ride the bus!!
Hi Sanjana - Very simple if you believe in Indian Economy then Banking Sector is must in any portfolio, as I keep telling SBI from 450 and ICICI Bank at 700 are my best bets in Banking Sector!
Fed Meeting later today if hike interst rate is 0.75% its already factored and rally should continue tomorrow. FII still sitting on the sidelines though DII buying outnumbering them presently!
Tata Motor posted weaker set of numbers compare to expectations and no wonder ADR is down 3% presently. Disclaimer: Recently suggested Tata Motor at 390 levels and will advice continue to hold trailing the SL to cost price for 550 targets. Happy Investing at dips!
tomorrow will be ce day 36800 possible definitely up up up expiry will be gap up tomorrow
Yes Sir - results related stocks can easily swing 5% on either side based on actual results, so no trading suggestion on result related call but if you get Biocon around 300 levels must as investment SL 270 for a target of 400.
Hi sir, Risk reward favors in Wipro, Put a sl of 370 in Wipro for a target of 550. Hope this helps!
NIFTY IS TECHNICALLY DOWN SELL ON RISE TOMMOROW NEXT SUPPORT IS 16000 FOR MORE FAST
Copper Low Made 636*30 As Of Now Which Sell Suggested 643 # 6*70 Points Down As Of Now, Nearing Given 1st Target 635
As Per Business Standard...Divestment push: RBI allows IDBI Bank bidders to own more than 40% Govt and LIC look to sell 51-74% stake in the lender through strategic disinvestment
Reliance is upgraded by UBS from Neutral to Buy with a higher price target of 3150.
Dreaming about a day when Jagran produces Rs 18 eps on Rs 81 book value and Rs 120 asset value.
Sell bank nifty spot at cmp 36800.....target 35800...sl..37130...30 min.sustainable can carry forward..🙏
Watch out Coal India psychological level 200, if sustain above that fresh leg of rally!!!
Congratulations and Jubilation - Woww 20% jump in a single day - stay invested for more friends!! Good relationships or investments are like Trees, They Demand attention
Told you 2380-2400 good support zone for Reliance and now reliance has consolidated will not let Nifty fall and midcaps stocks should catch the rally in next few days!!
United Spirit good 10 rupee now now since my message just 30 minutes ago, how would you rate my call on Indusind Bank, Coal India and United Spirits 2nd half calls!!!
Reliance holding crucial levels of 2380-2400 levels on closing basis which is a good sign and may show good bounce back!
power grid good fundamentally stock.. .. .. (buy power grid cmp near target 225/230
Tomorrow Bank nifty big gap up approx 36600 plus kyunki president results ane wala h.......and RBI full support.
earlier i suggested( when nifty 15840....buy buy near cmp 15840 .. target 16550....) now 16640... my target achieved... enjoy money rain friends... capital is must so keep following use trailing stop loss...... enjoy
Friends - Told you investment point of view stay invested for 1150 targets in Indusind Bank yesterday!
Congratulations and Jubilation - 10% jump in a single day - stay invested for more friends!! Good relationships or investments are like Trees, They Demand attention
Thank you Indigo for making our second half today :) Simply pure volume and price breakout!
Capital goods stocks are rocking today, ABB and Siemens simply unstoppable!! Enjoy n ride the profit!
Very happy for your profit Jee, enjoy n preserve this profit as your profit has become part of your capital now :)
Nifty closed at 16520 and next weeks 16000 CE is at 528.Probably will buy next weeks 16000 CE
Today the delivered quantity in SRS was around 55 lakh and 26 percent which is a good sign.Lets hope it breaks the 50.40(very very heavy resistance) and may 6th gap down 52.15 resistance with good volumes in next 3-6 trading days.
Negative Results from Wipro: Q1 profit FELL 21% yoy despite low base and fell 17% qoq. stock may be top loser tomorrow on nifty.
4.5 lkhs amo orders pending .. today 3.25pm heavy buyers .. tommarow it will cross easily 650 above ..if possible 10
Tomm expecting a gapup.However, there can be a 50-60 point dip, as Operators need to trap Retailers into buying 16500/16600 PE. Thursday expecting expiry at 16550 levels
Bank Nifty max would go around 35760 than Buy PE for handsome. Wednesday Red day..
its weekly loss unlike nifty which need a breath b4 it takes off again, will reach 16000 this expiry and 16700 nxt
Tomorrow we might see fireworks here since Dow Jones non ferrous is almost up 8% now we can see more upside in veil, hindalco and jspl
The stock has finally come on the radar of microcap experts. The stock should see a re-rating now.
The Q1-PAT in the worst case would be 650 CR and best case 1200 CR. The PAT of FY23 could be between 2600 CR to 6000 CR. With Net NPA around 1%, the 3x PBV is possible which translates the stock price to around 90-100.
its a hidden MULTIBAGGER in 2014 it has given multibagger returns then 2018 gap of 4 years now its 2022....
price to book indicates a sharp recovery from here ..price must be a minimum 300, do your own analysis and buy-in tons to create wealth
Only positive comment by Operator, do not buy single share it will touch easily 30, exit if you get chance, book your loss or profit, it is painful stock. just think if FA will negative then it will non stop 10-5.
I have not booked and I am seeing 15850 and below coming today.Even 15800 possible
As i said closing is red in the morning. This dead cat is not possible to go up. This may fall around 1700 in coming days
Dont get trapped by stupid people. Market is going down as I told. Exit your positions from CE. Red alert now red alert🚨🚨🚨
nifty is done for the day...no 16150 today.... tomorrow onwards more fall expected.....
665 to 675 didnt cross yet once cross call writer will come to buy in big qty
bank nifty is really scarry gives wrong dignsls n operators r rigging hdfc n kotsk bank to take it up
Hi Sunil........ Exit your position around 10:30 tomorrow...Nifty should be above 16300 at that time...You should book profits at that level...Target is 16300 and above...once it crosses 16300 then
HDFC Life to raise Rs. 350 cr. via debt funding to meet its expansion needs. The prospects of the industry is also promising. Add
Time has come to show to FIIs that India is a very strong country and we are not dependent on them for our stock markets. Our institutions should buy much more than FIIs are selling and take the markets to new highs.
mmtc and kiocl are the most powerful stocks in the entire world. keep this post intact. mstc, hc, omdc and stci along with them rally. you will all start chasing them too soon.
Wait and patience. today buy Bank Nifty Target 34400 and 34500 by 3 PM Today
FIIs are buying right now.Now they will ensure Nifty expires this week above 16300.Please dont buy any PEs
Ultratech mmust as investment idea for 8000 targets, completely oversold at 5500
Seems like it is better to wait till expiry before taking any new long position or buy below 33000. BN currently 33650
this quarter profit will touch to 1000 cr . because idbi sold properties and lic ipo fee will receive so it will strong quarter..... result will come early.
18770 cross huaa to gaya 18500 touch karega..ye to profit booking me upper aaya tha.. same for SL if you are in longs
Dekhte dekhte geojit 100 ke paar nikal jayega. Fundamentally strong stock trading at such a low level.
tomato share means 20/-per share. it will very soon move downward up to 20 rupees.
Derivative Pick : BUY ITC JUL Future AT 272.50,268, SL 265, TGT 283, TIME FRAME: 1-3 Days. Reco by -HDFC securities
Hi Jaspreet Ji...your question on ideal debt to equity for AB Cap is very difficult to answer as AB Cap has several businesses such as NBFC for which leverage permissible by RBI is 7:1. For insurance, it should not be above 2:1. Further, we have to see short-term and long-term debt. Each company will have different CAPEX and expansion plans. AB Cap presently needs debt mostly for its insurance business which is yet to break even. There is also hardly any peer comparison as AB Cap has several businesses.
Taj gvk can be looked into frnds cmp 137 and minor dips for long trm,good lvls if missed earlier,always make own research first !
Prosperity is your birthright, and you hold the key to more abundance. That key is in your thoughts and feelings.
Tata Power is good stock to hold in portfolio! Initially suggested at 40 rupee!!
Hi Rahul Ji...... Yes, you can buy Axis Bank at the current level, every dip is a buying opportunity, you can also invest in Bank of Baroda. Hope this helps!
Tech Mahindra is completely oversold at 1000 levels can easily see 1050-60 levels in the very near term!!! Must as investment idea for 1400 targets good 40% upside also!
Big move will come only on expiry day I feel after US GDP numbers on Wednesday US hours, those who buyed calls today in FOMO after gapup got trapped and call values are hugely down . Those who did not book profits markets will give them loss . Operator has sold 15800 straddle so big move any one side is highly next1/2 day by then all premium will be fully eaten and big move will come when operator has buyed enough at low rates
Agreed Anushmita ...but look...the truth is you cannot predict too much...bcos one bad news and the market is gone...for example, the 10ye yields have rebounded...crude oil has jit major support and rebounded a little bit...most commodity momentum short term indicators have also shown over sold levels..one big rise in commodities or yields and the market csb give up its gains like that...the only way to trade is to be hedged and not carry outsized risks... let's not forget that this is still a bear mkt...I reckon that what happened at 16600 levels last time...didn't spend enough time there..and fell further...even this one...we haven't spent any time at 15200 15400 levels..we hit 15200 kn Monday and 15400 on Thursday and we are out...looks too good to be true...so my reckoning is that we will revisit this zone again in July...
I am short the mkt, but this monster rally has changed a few things...one, the momentum is just gone from the bears...so unless there is some serious effort...looks like rhe momentum is on the upside...ofcourse we still have an entire weekend...but even glovally next week looks like a positive one...the only grace for the bears js a monster 250 point opening and the bears take over...very unlikely that will happen...but you never know...i got rid of my Reliance shorts largely...bcos that guy is due a big rally...and when big daddy dances...the bears can only watch. but, the speed of the rally will also mean that we may get into overbought position going into expiry...and crucial data coming in for wednesday and thursday...the brars should preserve their ammo for unwind your shorts and let the hedges rally...u make up some of the losses...wnjoy the rest of the weekend..ofcourse the mkt has the right to surprise us...