Sanchi_Bullish_India about info comming soon...
it seems like tomorrow pe may gain 700 to 900 points if not then following 2 sessions
TCS to move towards 3400 targets sooner or later in the short term, I expect Nifty to hit 18000 first!!
If you are an invester dont fear of marketing slide ..get good shares at lower level....neednot make others fear please...be patience to earn in excellent way....
By the end of the day.. PCR is at 0.98.. With the high Active OIs zone from 17K strike to 18K strike having Call/Put additions of almost equal of 240Ks.. and 225Ks.. Which can be seen in charts sideways movement since 2:35 PM on 5 minutes frame... TCS and Infy stayed Positive throughout the day(Where INFY had gone negative but recovered) with Vix staying 0.81% negative But still closing above 19.. Whipe rest heavyweights like Reliance, HDFC TWINS, Kotak and ICICI closing negative.. Yesterday it was Reliance and ICICI to keep the spot stable among 7 heavyweights today it was IT twins turns
This stock has performed very well in terms of Revenue and profit....Eps. three cheers.
Chemicals and Capital Goods sectors are going to zoom multiple X... Dont miss this opportunity..Hold for a year to get multifold returns.
Subex is good to BUY and Accumulate at current level of 36.50 as it will Bounce back to level of 39 as systametic Accumulation is done by Operators nad HNIs. Subex will remain strong in next quarters to come as strong Orders are expected post 5G launches. One can HOLD Subex if you are sitting on any losses and if you are in profit, HOLD it as Sky is Unlimited for this Stock. Buy Karo aur Aaram Karo. Long Term Pricing is 100 for Subex. This stock should not be Traded on daily basis otherwise all juice from your balls will be vanished.
if dow recovers atleast 300 points from here than sgx will in green positive zone and if recovers 500 points than we can imagine further......
reliance is going develop them own technology and design of renewable energy buy suzlon buy suzlon share tomorrow upper circuit
Power finance is a wonderful company to invest now as the correction is overdone. This dip is a buying opportunity for more info Find STOCK GAINERS ON TEGRAM
when will the shareholders of the company get the shares of L&T INFOTECH in exchange to the holdings in this company.Van anybody tell?
Russian market always go opposite to USA n European market.. indian has to react again USA market
Globally, sentiment for Multiplex chains has soured in recent times after declaration of bankruptcy by Cineworld. AMC entertainment ( worlds largest multiplex chain ) shares have also plummeted from 52$ to 9$ in one year. PVR / INOX will also see the impact eventually and with some lag.
Finally reached IPO price if it sustains that on closing basis can go to at least 450 very quickly....
Mondays huge correction in Sensex and Nifty. Present level exit from adani shares.
dividend was approved only yesterday only in the agm. hence we ca expect dividend next week.
I think Reliance will lift nifty high this time with AGM on monday...One positive factor is crude is stable and more OTM put options strucked from July will not give way easily to shorters until 17350 holds..18000 is not so far..Lets see..
Binny has sold wind mill asset for 36 crores during the quarter. This was acquired in MBL transaction. Should boost the Profit well.
asm is not construed as punishment. simply it flagged for high beta and unsual volume. there sop in. this regard by sebi to save investors.
ONGC jumps on relaunching tender to sell gas from KG fields at higher price of $15 per mmBtu
Update Buy nifty Fut cmp sl spot same 17436 Tgt 17700/17800 (positional next week call)
fii sold heavily today at this time.we are being fooled by everyone including this publication house also
Rail Vikas Nigam shines on inking pact with NHLML, IWAI for swift development of MMLP
Grab KARNATAKA BANK at the earliest. FIIs holding increased from 11.92 to 15.46 percent in June quarter. Book Value- Rs.228.00, EPS-Rs 16.60, PE- 4.43 (ONLY), PB- 0.32 (ONLY). It has weathered the NPA and corona storm very effectively. Ready to fly anytime. Dividend Rs 4.00. Utterly undervalued stock.
Nifty filled all major gaps near by... now it should attempt again to cross 18000
OMAXE: CO TO INVEST RUPEES 21B TO BUILD SPORTS COMPLEX, RETAIL PROJECT AT DWARKA AS A PART OF ITS EXPANSION PLAN
Be it Nifty or Bank Nifty both sides made good profit based on the morning support n resistance shared this morning :)
Seems will consolidate in a 50 point range for few days before major upside , lets
This 2 days downward created strong base and support at Now again new fresh upward rally started which wl take nifty to 19k. Alone bull here who is still bullish.
In an Interview on ET Now company said they plan to raise 2000 crore. With a market cap of 2800 for Spicejet this definitely means that the issue would be prices at a substantial premium to the current market price. Just Google and watch the interview if you can on ET Now
CEO Vinod Kumar is a Techie, who revived the company to strength.. He will not sell randomly.. If that was the intention, he could have sold when the share was at 74 rupees last year..
It will not return easily. KC will continue in all these 3 GKP, Shugam and GGPL.
Triton Valves is a good stock that must hold for multibagger returns in future. Another company which can give you multibagger returns is Creative Eye Ltd
Hold on to the shorts you have as there are no big signs of Nifty bouncing back. Hedged combo shorts are the best in current situation.
Parliamentary panel on energy may meet this month to discuss Electricity Amendment Bill.
Fundamentally its a very strong stock , all divisions are firing, buy and keep it for posterity
Seems will consolidate in a 50 point range for few days before major upside , lets c
huge buying in the last 2 hours on Friday...it will surely gap up opening with minimum 300-400 points...dont trap with PE...CE will be rocking on Monday...
It will be navin florin after two years. Also buy holding company Mysore PETRO available at 2 PE and at 0.4 book value.
shorts done today but investors are recovering BuyBuyBuy It is tatas share it wont come to this price again
QUESS is a rock solid stock do not see much down side hold for targets of 700 till diwali.Accumulate more on every fall. - My target for Quess Corp is Rs 150 for the short term with a stoploss of Rs 550
Huge correction done in good fundamentally strong stocks buy in every dips for investment
pl note preferential issue to promoters reccently rs 85/- per share so certainly worth as its nearly 40
LAST FEW DAYS GOOD VOLUME SPIKE IN BLS, AND CHART SUPPORTIVE TOO, BUY AT 243-244, STOPLOSS AT 230, T1 270 T2 290 T3 330
Now booking full profit from here it will going to fall from here again tgt 192
Hi, on WED and THU consider those PEs and CEs with traded value of ten rupees or more. Ignore lower valued strikes. That can be a better indicator. Good luck to you.
Worst performing power stock! despite a lot of positive news coming its way this junk aint moving..
IT Shares not all the Increasing from last 10 days..Even European & Nasdaq Markers are Positive.
EICHER MOTORS: Royal Enfield to launch EVs only in 4-5 years: Eicher MD Siddhartha Lal. He also said that though Royal Enfield has started some development work on EVs, the final product would be "something spectacular and different."
TVS ELECTRONICS Q1: NET PROFIT OF 3.8 CR V 0.49 CR LOSS (YOY), DOWN 15 % (QOQ) REVENUE UP 59 % AT 86.3 CR (YOY) ,DOWN 2 % (QOQ) EBITDA OF 6.46 CR V 0.94 CR PROFIT (YOY), DOWN 17 % (QOQ) MARGINS AT 7.5 % V 8.8 % (QOQ)
Annual EPS of - 40 is very good. At 12x min price should be 500. Margins expected to improve. Once new registrations happen then sales will increase substantially.
Excellent results posted by GNA AXLE Q1:CONS NET PROFIT UP 41 % AT 27 CR (YOY),DOWN 8 % (QOQ) REVENUE UP 25 % AT 375 CR (YOY) ,UP 14 % (QOQ) EBITDA UP 41 % AT 50 CR (YOY),DOWN 8 %(QOQ) MARGINS AT 13.3 % V 11.8 % (YOY), 16.5 % (QOQ)
Tragic loss to the Indian stock market and to our Nation, RIP Jhunjhunwala ji...made me contemplate about the uncertainty of the precious life given by god..let us hands and take a resolution to put this forum to good use and help the trading community and fellow traders, investors
Forget daily weekly monthly target ....Just buy Vedanta for 3-5-10 years and enjoy the devidend .... Happy Investing!!!!
present PE of the bank is below five. There was some issues in between but that is history average is above 20 but considering the smaller size of the bank ,I expect it will maintain PE of 12 ie price of Rs 200. Target of 200 can be achieved in six month . This is also merger candidate with any big bank.
Currently trading at lower price due to industry dynamics. But the stock has a long term upside potential
Result will not make much differences for investors at this moment of time ( result will be average)..main focus will be dmrc and dvc payment status..if recd. Half of the amount than we can see spike inshare price ..immediate basis.....what to do lack of transparency makes us to wait till result to get the information about any development , payment receivals ..lot more
This rally looks highly overbought in very short period of time , charts are not giving comfort, may be trap to retail investors ,stay cautious, may test sub 15000 level in next few weeks, 18000 level for nifty difficult, short sell only after confirmation on chart
This rally looks highly overbought in very short period of time , charts are not giving comfort, may be trap to retail investors ,stay cautious, may test sub 15000 level in next few weeks, 18000 level for nifty difficult, short sell only after confirmation on chart
Result impact not much on sail ....Soon to trade above 90 levels... Happy Investing !!!!!
Fantastic results as per the strategy given by management to grow profitabily. MSTC will get higher valuation
VLS Finance share has been performing well in this week.. But unfortunately no views being exchanged here.. Let us come forward.
It will be big and game changing investment, so preparing fine prints t&c taking time.Just price stagnation is irritating me otherwise I know KMB will pull it through with flying colors.
Such are the indications emerging currently technically and fundamentally.
QOQ PAT is up 30%, but YOY down by 10% which is already factored in the price
Keeping in mind paper category stock especially JK Paper performance, Seshasayee also will give good breakout with volume which will take it to 300 range.
At 2.05 pm. PE additions at 240k lots and CEs at 380k lots. Nifty can stay in distribution and eating zone. NO TRADE.
here in India, RBI governor has no reply for loss of forex deficit of 130 bn USD in last 4months, he happy about FIIs 1.5 bn in equity,
low profit YOY already factored in share price..base formation already done..if hold 127/- than target will be 137/-, 142/-, 147/- in next 10 days...final upside breakout will be 150/-..downside risk is over now..Thanks
tomorrow is the result day. lets see what they deliver. prediction.. Revenue. 97-100 cr. NP 17/8 cr.
Tata chemicals #TATACHEM Bumper Q1FY23 on a big base Classy set🔥 Rev 4041cr vs 3032cr Q4 rev at 3587cr PBT at 797cr vs 428cr Q4 PBT at 513cr PAT at 637cr vs 342cr Q4 PAT at 445cr Big beat QoQ n YoY Q1 EPS at 23.2rs vs 11.3rs Q4 eps at 17...
Margins coming down. Cyclical industry should be sold when margins start to come down.
BDL has order book position Rs 10170Crs as on 01/04/2022 and received leads of AKASH to friendly foreign countries, which will be materialise in one to two years. So keep investing and enjoy.
Reliance bulldozed my said target on upside and even surpassed it. Large sell orders were also creamed off. Nifty 17 500 eh!!
June Qtr Vs March Qtr FI and Public holdings increased marginally, DI holding decrease marginally and Promotors holding remain same.. Net Profit 132 crore June Qtr it was 98 crore in March Qtr..
CE Info Systems: The Digital map company, which operates under MapMyIndia brand name, posted nearly 18 per cent increase in its consolidated profit at Rs 24.2 crore in the April-June quarter of FY23. The company had recorded a profit of Rs 20.6 crore in the same period a year ago.
The more negative comments/sentiments good for N/BN as Big players always take it oppossite of Retailers and make money
very positive results. should cross 500 in 1 year and 300 ina week. every parameter is above expectation. ARPOB is 1 of the best in the industry. next quarter should be even more stronger.
Advanced Enzyme Technologies standalone net profit declines 58.06% in the June 2022 quarter
Most important part to Maximize Profit is to Identify Right Target Price and SL..
RIL shares saw real buying in crores when they announced stake sale to Facebook and other US biggies. share price surged thirty percent in one month.
From Monday onwards upper circuit ,Net loss in Last querter turnaround to net Profit from this first querter of Fy23.
very good results profit before tax and exceptional items qoq jump approx 12% jump from to and approx 550% on yoy from to . Eps jump from 2.09 to 2.67 qoq and 0.51 to 2.67 yoy. So very good result upper circuit on Monday.
let us celebrate continuous fall for last 9 days.smell of something fishy in top management.
Nifty strong expiry alert for next Nifty now 17400 strong support near 17300 if hold weekly expiry 17650 and 17750 upper side levels if break first attempt to break 17200 maximum pain place at 17000 downside target all are spot levels power...
HDFC Securities has buy call on GAIL (India) with a target price of Rs 180. The current market price of GAIL (India) Ltd. is Rs 134.05. Time period given by analyst is one year when GAIL (India) Ltd. price can reach defined target.
it is normal for share price to fall after results. Hold on for a couple of days for target of 2000/ - My target for TCI Express is Rs 2000 for the short term with a stoploss of Rs 1690
yes, they are useless, they are disclosing monthly sales report 5th day of every month, other peers are disclose 1st day itself. (how lazy management)
Q1 results are on August 11th and Dividend Record Date is 12th August.If the results are impressive, we could expect a pre dividend and post result rally in BDH. Hope BDH to achieve TTM of 14-15.
Neither it is going up nor it is going down. It is very difficult to survive in this circumstances.
SBI is strong today will lift nifty and bnf . something is cooking in psu banks.
Todays down fall is good to factor in if the result is not upto mark...Next week will the week of AWL
This is one of those evergreen stocks n should find in long hold space in every portfolio. IT is becomeb an indispensible suburb in humsn life and always in demand. Their expertise in communications makes them further attractive.
it 824 was the strongest resistance. it may consolidate few days here. once it cross 824 than will be non stopable.
2// Operating cash flow of the company tanked 60 percent year-on-year to Rs 807 crore for the quarter ended June //
Like Navneet, Kaveri seeds also post best quarterly results in Q1. The Q1 result date for Kaveri is 8th Aug. The stock is available at very low PE of 13. Kaveri has made 52 week high of 790. So do your research and buy Kaveri now.
expect profit booking at 38000 ( /- few points)..should take a defenitive direction here on.
If market supports Energy sectors can fire from now. Shares IEX and EKI energy are in breakout range
so much selling pressure happening in our mkt, but 17150/- is strong support for Nifty 50. If you have hard work money, then wait for European market opening. Choice is yours.
Fresh uptrend starting in Panacea Bio. Keep trailing your stoploss and hold for further uptrend. CMP 147
after stock split value of tata steel is very much attractive and affordable , at this cost its good for investment 150 is conservatively visible
Very low PE compared to industry.Worse is over for the banks.High potential to up.
Patel Engineering surges on executing Share Purchase agreement with India Grid Trust
Welspun Enterprises soars on receiving completion certificate for road project in Maharashtra
long term prospective very good quarters huge growth opportunities..hold minimum 3 year..accumulate and sit tight
Mahindra Logistics shines on reporting 4-fold jump in Q1 consolidated net profit
suddenly forum sentimeter is bullish. probably market will be up on Monday and may touch 17500 on Friday.on Wednesday and Thursday there will be some corrections due to rbi rate hike
Sound working capital management will be strong point to take this up with proper SL and target
yes, I am also expecting split from HIL. board can surprise with bonuses shares also. but looking to the share price and to avoid huge volatility, HIL board should consider split and bonus both.
Low Interest rates and system liquidity will be a reason for bullish in upcoming trading sessions.
Currently trading at lower price due to industry dynamics. But the stock has a long term upside potential
Dont sell even a single share. Enjoy upper circuits. Consistent performance. Q3 net profit 12cr, Q4 12cr, Q1 21cr.
800 is the strong base. consolidated for long time here. I can see 1050 level in few swssions.
great results from Jubilant today... next will be Devyani.. good time ahead..
wait! minimum valuation of the stock is 450. it is waiting for the result of cpcl. it is only a matter of time.
Sir Adani power has already covered the lost ground . now 315 and ATH is 335
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!
BASF to cut ammonia production on natural gas supply cut. Positive for Indian chemical manufacturers ,GNFC and Deepak Nitrite ✌️✌️✌️
Totally driven by operator script... Can be driven anytime towards any directions by them. No doubt about good fundamentals but due to veey few hoilding in public, the stearing always remain in hands of operators..
Results must be weak, insiders must be having a scent of this and so selling is continuing, Once results are published, we can expect some stability and in the mid course say 2-3 months, we can expecct it to be back in 142 range andd in long term say 1 year, it will get back to 165-170.
This looks to be moving in tend-um with the US market behavior today starting today evening.
Next TTML after 5G implementation, speed will be equal to both GTL & 5G. be patience & stay invested.
looks like inside information got leaked of bad results..... hence going down since last few days.... privileged people get info before us.....
At 1.50 pm. PE additions around 140k lots and CEs at 350k lots. Nifty can stay in minus hundred fifty to minus fifty range. those with open shorts can take protective near out of money CE buy. good luck to all.
china has banned export of phosphates, this is repercussions of that. I dont think it will come down that drastically.
zomato swiggy Paytm what a fantastic ponzi scheme . Retailers have been made fools . Also those MF schemes who have invested ( if any ) those schemes should be redeemed as soon as possible
Brother there is a good chance of hitting 16 650 - 16 670 range before 2.30. However from there it may turn bearish.
the Investigation Wing of the Income Tax Department in Gujarat have seized Rs. 25 crore in cash, Rs. 10 crore worth of jewellery, 1.50 lakh dollars and 25 lockers.
IMMIDIETE BUY AND DO NOT SELL A SINGLE SHARE UPON UPPER CIRCUIT WAIT FOR 450 TOMORROW BOOK PROFITS AT 450
buy fast short covering rally started in strong stovks..buy..will be in nifty next portfolio stock.
NAVIN FLURO GOOD FUNDAMENTAL AND GOOD CHART KEEP TGT 4200 - 4250 - 4300 SL 4100
plant based meat products will add more value in company. good business would be expected. target 477 then 515
It mean its a DEAD COMA stock, no sensations, no feelings, no reaction other than action for downside to the funeral, RIP
I am hoping it does but past data suggests that this stock takes an about turn from these levels. The results have been moderately good however something is keeping this stock in a range of 85-108 for a very long time.
Buy Lupin CMP 640-641 SL 628 Closing basis Tgt price 1 st 700 and 2nd tgt 750.... positional...
When fii are buying we dont need any other indicators or charts, fundamentals etc etc,simply buy index will go up only, when they resume selling just follow them
Hopefully SRS can touch Rs 53/-, not Rs 54/-. Today I sold at Rs 52.30 and again purchased at Rs 50.55.
book profit , result may not be that good because of fire incidents in plants. buy after results at 1700 level
Sound working capital management will be strong point to take this up with proper SL and target
like indian infotech pmc are fraud company there pramoter are choor they converted there profit into losses careful before investing here
todays volumes prove that wise men are accumulating, the desperate ones are selling. are u wise or are you desperate? hold on guys. this ones going to rock soon!!
Looking at the technicals and momentum, its not the right time to invest in this stock. If you dont want to lose your hard-earned money
Nifty strong expiry alert rocks alerted from Friday 15900 now 16300 next 16500 on cards maximum pain 16200 all are spot levels power of technical analysis rocks again history repeats itself
#Vedanta Dividend of Rs 19.5 announced.... 8.5% dividend yield at current market price of 238
I am 100 % sure the way awl is behaving ....it is ready to higher level at least above 1000 within 3 months
Big move is on the way. Keep watching this space. Heavy surge expected in 130 Call.
Sell welspun enterprises some biggies are exiting in huge way. Will come down very very badly. Actis deal was a eyewash
A Short Squeeze in process and Nifty is racing towards resistance of 16 230 level ... those confident Shorters are silently watching as their premiums get hammered out of shape.
pcj will overcome kalyaan next week. Nowadays profit in business is not a criteria to increase share price.
record date for dividends not announced if u buy keep it till exdate u getdividend
Rpower is one of the best stock in the market from investment purposes. Debt is continously reducing. This year will be game changer for ADAG stocks.
net NPA up 10% huge negative for hdfc bank. emi time.par bharne ka kya faayda hdfc bank ko. koi aur paisa lootkar chala jaata hai aur NPA ho jaata hai..
The weekly momentum indicator has triggered a bullish crossover. However the RSI factor should be considered to analyse the entry point.
one can invest in this stocks for the short term or long term, the chances of earning high returns increase dramatically
Upcoming 2-3 years will be dominated by mostly midcap stocks...invest in good ones
HDFC BANK Q1 ST NET PROFIT UP 18 % TO 9195 CR (YOY), DOWN 8.5 %(QOQ) NII UP 14.5 % AT 19482 CR (YOY), UP 3.23 % (QOQ) HDFC BANK: GROSS NPA AT 1.28 %V 1.17 % (QOQ) NET NPA AT 0.35 % V 0.32 % (QOQ)
Big Beaking Horror News: US will enter recession in Q4 this FY followed by EU, Japan, South Korea slowdown in exports will impact India, says experts.
Star health looking good for short term uptrend. CMP 630. uptrend started from 530 level 7 days back. expecting more uptrend. maintain stoploss 5%
DOW CAN WITNESS A HUGE SHORT COVERING RALLY ALSO AS THERE HAS BEEN RELENTLESS SELLING TOO . SO DONT BE SURPRISED
Horror News: India reports 20,038 Covid-19 cases and 47 deaths in last 24 hours 😢 We cant afford another lockdowns when inflation at its peak. Radar shows Free fall on monday
anytime balrampur chini upside move. results and possibly buybacks announced
Moredown side open meanwhile spikes not sustainable! Keep neutral to negative views for today! If it complete its pullback upto 34500-34290, Downside will be restricted & Banknifty may consolidate within 34290-35480 range!
Perfect breakout in Alankit. See the power of chart and analysis. Will give you more.
Larsen showing strength in such market with Nifty below 16k to 15900 good support, I would watch out Larsen for the short term!
FM should have to remove Export Duty as requested by CCI for Earning Dollars, Orders Execution as per commitments
CARE RATING GOOD COMPANY VALUTION OF THIS SECTOR VERY ATTRACTIVE KEEP INVESTING IN DIP
good level to accumulate this stock, results have been good, it can only go upwards, past performance is never an indicator for future performance
Now at second half the Call writing has increased almost to 200 Ks at 16 200.. A straight 40Ks addition since last two hours.. Also I see 16 100 going above 100Ks.. With 16K Put writing staying constant at 129 K.. The second half might turn interesting
This stock bounce back in few day..Target 3500 month end. Good chance to Buy 3000 July CE.
Dwarikesh has entered into the bullish trend... add more if it comes 107-110.... tgts 150/200
5g space needs trusted source certificate and hfcl possess that so buy hfcl for long term
The Pension Fund Regulatory and Development Authority has approved the merger of HDFC Investments and HDFC Holdings with and into Housing Development Finance Corporation Ltd and of HDFC Ltd with and into HDFC Bank.
buy itc its breaking out for higher orbits it will bcome rocket above 300........
ppl are scared of adani as if first day itself adani will eatup market share...Jio took 8 yrs of preparetion to match the level...Adani is involved for better spectrum pricing only
looking at the stock... it does not seems to be trading above 420... so sell is a better option
Nifty on worst case scenario can dip to 16 086 level which is 50dma ... or may touch yesterdays highs
Buy Adani power at current price for short term Targets of 410. Last chance to buy at this lowest price. Dont miss the opportunity. Very good stock to be in everyones portfolio.
Why this failed to build on the gains on a good day like this is something very intriguing to me
Bajaj Healthcare s stock price has corrected nearly 45 percent from its Jul-21 highs of Rs 500.
i dont expect any magic from sw solar. management is least concerned abt the investors
Most probably test 82. Only after quarterly results, if profitability improve, it can up above 120. Otherwise it is going to test 82, 72 levels.
In last 15 mins many option buyers lost half of their Capitol. both side stoploss in minutes
metal stocks are likely to surge as China has planned 75 billion US dollars for infrastructure funds . Present weakness is due to operator making position at lower level.
everything is so easy to predict. Nifty once reaches 15880 zones, short blindly, it is bound to come down
never ever go with the market flow ... company is fully functional and have been increasing its dealer base and distribution reach ...those who panic ...are actually the chickens who make loss
DJ down 600 point.. it seems very tough to reach 16000 in this expiry. Gap down opening will be expected tomorrow
no need to worry on SRF. it will touch 3000 by July End. quarterly results will be superb. cash rich and sound funda. bounce back immediately
first quarter results coming up so early as ninth of July is an indication of strong result, I think so
Fundamentally its a very strong stock , all divisions are firing, buy and keep it for posterity
a new flashed that Hindustan power exchange limited start its work from 1st July.... now boom has started...
Too much manipulation going on in this counter. Not a BUY or SHORT call. Watch and trade. Long term no worries.
BUY GRASIM After it sustain above 1380 for target 1500-1620+ TO BE ACHIEVED VERY SOON .
Price of its product Benzene and Toluene is improved. Management is liberal and issuing bonus share , demerger of subsidiaries is frequent . Long term investor can consider this stock for investment.
ONGC has Production Sharing Contract with other players in domestic oil fields. Hence , about 50 to 55% oil is from OVL -- ONGC VIDESH LTD which is outside purview of Windfall tax. But Windfall tax is highly exaggerated in yesterday fall of 14%
This moves only when the market is green…pathetic volume and not too many people know this company even exists…
100%export oriented means not liable to sell in domestic market.reliance jamnagar unit is in SEZ as well as 100%export oriented so not liable for 50% sale in domestic market nor liable for Levi on petrol and Diesel.
Ex bonus price is 3.56 and stock opened with 10% upper circuit so its trading at 3.91. This will definitely trade at 5-6 within 1 month
q1 result on 12 July so non stop UC. RIL AGM as well in the month of July. Buy in bulk for target of 36.
Titan bottom done anytime spike green should be closed in green lets see what happen...
Adanipower 261. is important level break and trade below can touch 258. 255..251.up side 268.273. 277. resistant level. quarterly results will decide the stock trend.
Zomato loses about $1.1 billion of market value in two days after Blinkit acquisition deal
L&T : Intra day target : 1550 , buy buy buy and make some great money today in this active counter..
Oil and Natural Gas Corporation (ONGC) has sharply moved up on the back of a renewed upswing in Oil. Buy near Rs 150 for targets of Rs 160/168 in the near term. Stops at Rs 142.
Intra day target : 8550 , buy and make some decent gains / profits in this counter
Owning a stock like having partial ownership in the business. Treat yourself as an owner of the business.
Trading involves short-term strategies to maximize returns daily, monthly, or quarterly
Short selling is usually a pretty risky endeavor for most investors and not something most beginners should attempt.
ETFs also exist for various asset classes, as leveraged investments that return some multiple of the underlying index,
keep patience hold another 6 month this will become diamond this will touch 250
SHILCTECH we told near 500 few days back today it made high 624 soon it will cross 700 levels
Friends, keep patience. Buyback will be announced at a decent price as planned. details will be soon available on Bse, The important point is not to tender any share in buyback at any price as I have mentioned repeatedly in my earlier posts.
Third Class with Third Class Promoters. This company will close in another 2 Years .
it will be good if Vi didnt participate in 5G.. unnecessarily debt will incarrese... company unable to sold 4G.. subscribers decreasing than what it will do with 5G..i think company will not go for 5G and make robust 4G network first..else may get closed..
Vimta 8% uppp, preparing fresh jalwa frnds, from 230 to 450 done, cmp 376 !
today board meeting what is the spilting date can u know vijay sirji plz tell us
Good lvls to look into vedanta frnds,cmp near 238.Always make own research first !
KKalpana Industries : Intra day target : 17.50 , buy buy in this counter and make some good gains today in this counter today.
KKalpana Industries : Intra day target : 17.50 , buy buy in this counter and make some good gains today in this counter today.
KKalpana Industries : Intra day target : 17.50 , buy buy in this counter and make some good gains today in this counter today.
Buy call at current levels, target 900 in coming quarterly results. Soon to announce some exciting stuff which is long awaited in this counter. major accumulation already done by major players
Career Point book value Rs 258, cmp not even half the book value. Fully functional, operational activities on. Why cmp is in death range !! Investors can grab the oppoetunity. Grab, Grab and Grab !!!
Tata Motor below 400 must buy and forget as investment idea for 550 targets!!
its is totally operator game... dont fall in trap. from Monday they start profit booking... So lc will be there on regular basis.
Today Again. ...Narrow CPR in Bank of Baroda.....Buy buy at 96-95 levels.......It will Go Upside Upside only Today
Today Again. ...Narrow CPR in Bank of Baroda.....Buy buy at 96-95 levels.......It will Go Upside Upside only Today
Dear All. Those wholl sell today, should regret at later stages.. in my opinion their Business model is superb and should rise to 150 levels..
Demand remain robust in IT service spaces despite a weak macro environment. Given the capabilities of Wipro, it is in a good position to withstand the weak macro environment. Valuation is also very attractive now.
Use every dips for the adding more ......... excellent buying for the long term investment
This will move like anything post 5G auction. Its better to grab your pieces at low price. Happy Investing
coy will be debt free by 2022 as per its directors statement.Im holding 35000 5 Rs . willing to loose all my investment. it will cross 100 Rs by 2025.
Management has diluted equity. No plans to present growth and complete failure of management to turn around the Company. Best options is to bring in professional management. Wisdom must prevail over emotions to maintain control. - My target for Wockhardt is Rs 255 for the short term with a stoploss of Rs 205
IRB Infra receives an arbitration award of Rs. 308 cr out of total claim of Rs. 419 cr as directed by the court
The stock price is about to give a pennant breakout with targets 220/252/272. Watch out!!!
2100 level will break within 2 day may be tomorrow. once exit from delivery if hold.
Global sales are strong. Profitability is strong and roadmap for growth appears robust. - My target for Goldiam Inter is Rs 160 for the short term with a stoploss of Rs 110
Upcoming 2-3 years will be dominated by mostly midcap stocks...invest in good ones
TECH MAHINDRA technical charts are very bullish....will cross 1000+ very soon....buy
TECH MAHINDRA technical charts are very bullish....will cross 100+ very soon....buy
Profit booking would be seen now in UPL....sell sell sell...book ur profit....wait to reenter at lower 450-455 level
WIPRO is a very good fundamental stock....may give u 20-30% in long term for sure...
going to break 400 very soon ....will touch 420-430+ any time ...buy buy buy GLENMARK
buy FEDERAL BANK at current levels for immediate target of 110+ next month ..big rally coming very soon
SIEMENS is a very good choice to your portfolio ...buy at current levels for target 2500-2550..
Buy Shree 45.50 - 45.60 Target : 51.50 - 53 Ultimate Target : 60 KEEP SL : 42
profit booking will start very soon.....sell VEDANTA fut at current level for target 250-240...
Buy Maggie King NESTLE for target 17000-18000 in upcoming trading sessions ....huge growth is to be seen in this stock .
speedy recovery is expected from these levels...buy for for huge profit...
Let's make phenomenal gains together on high conviction opportunities and grow big together..
JSW STEEL is too much overrated now ....May go down very soon anytime ..... reenter at lower levels...book your super profits.
buy DABUR INDIA for target 580-600+ this year for sure ....superb results this year .
BUY GRASIM After it sustain above 1300 for target 1400-1420+ TO BE ACHIEVED VERY SOON .
buy IDFC FIRST BANK ..first target 35...second hit 38.last target 41..short term traders may book profit .
Buy Chennai 325 - 326 Target : 370 - 385 Ultimate Target : 400 KEEP SL : 310
Buy 138 - 139 Target : 173 - 180 Ultimate Target : 190 KEEP SL : 125 Note : It was OUR SHORT TERM CALL AROUND 122 Level for a Target of 180 and this HIT 200
Buy Gokaldas 380- Target : 480 - 500 Ultimate Target : 520 KEEP SL : 355 Recommending you for the Last 3-5 Days Note : Clients are Long there too
Looks Hot Jai HO Buy Mahindra 405 - 406 Target : 458 - 465 Ultimate Target : 500 KEEP SL : 390
Looks Hot Jai HO Buy Opinions 640 - 641 Target : 700 - 705 Ultimate Target : 750 KEEP SL : 610
Buy Dynacons 415 - 420 Short Term Target : 470 - 500 Ultimate Target : 550 KEEP SL : 390
Buy Shree 48.50 - 48.60 Target : 51.50 - 53 Ultimate Target : 60 KEEP SL : 47
Buy Hindustan 1890 - 1894 Target : 2000 - 2050 Ultimate Target : 2200 KEEP SL : 1850
Looks Hot Jai HO Buy Time 106 - 107 Short Term Target : 127 - 135 Ultimate Target : 150 KEEP SL : 100
Looks Hot Jai HO Buy Marathon 180 - 180.50 Short Term Target : 188 - 198 Ultimate Target : 210 KEEP SL : 160