BestStockChoice01 about info comming soon...
The one who loses patience here will curse the market. Holding HUL stock in the portfolio is compulsory.
tomorrow bank nifty blast Hdfcbank adr 2.2% up, icicibank adr 1.8%up if 44300 cross then 44500 sure
nifty will take correction from 18975 50 points... straight to 18325... then premium adjustments..
Chances of a gap down tomorrow. Its range bound in oversold region. A correction is absolutely on the way. Best wishes.
BUY 18300 PE IN BULK TODAY AND MEXT WEEK EXPIRY BELOW 18000 LOSS HUA TO GHAR AAKR PAISE LE JANA BUY OUT ONLY FOR RECOVER LOSSES AND BUMPER PROFIT
Europearn market down 2%, tomorrow big fall seems in market. nifty can fall near 200 point tomorrow and Bank nifty near 500-700 points
wait for options writing data and after opening options buying data..18.200 ,300 CE avg price are good so make it zero..or less today already done for 300 above CE all are gone..and . that all 18300 PE if close at 18200also
first target 43000 then real upmove will be there... today there is high chances of big move
VERY GOOD FUNDAMENTALS PSU BANK AND GOOD RETURNS SOON. ZOOM UPPER SIDE SOON SO BUY NOW.
irrespective of this share going up or down. i keep buying. i know what it will give end of 2023. chaos or negative comments it will never deter me buying this share till Oct23.
Im bearish zomato only its closing below support based 48-50 levels otherwise Im expecting bounced back from here on https://t.me/sensexnow
nifty is moving up and up...whats the reason for this rise? seems totally manipulated market..
Bought few more qty today and added to the long term portfolio. It will take some time for stock to come back from bad times. But with the planned capex I see good future for company .
experts like jp morgan will try their level best to show western interests and try their best to influence FIIs
Print media active ho jaaye samajh lo abhi ka bottom ho gaya ...aur agar print media unlikely khabar chala de to samajh lo high ho gaya ...baki to masters ko pata hai kya hoga.
In June 2022, Havatel has a debt of 1.60 lakh crores and VIL has a debt of 1.96 lakh crores. There is a difference of only 20% in the loan of both but the jobbers sing the slogan of VIL alone. VIL already has surplus spectrum in all circles
bank nifty may open at around 38700-39100 and may further decline upto 38500 after which quick recovery is expected.
Tomarrow good chance to buy sxnifty down more then250 point So accumalte between 84-86 range for a tgt of life time near 120 before diwali
Anirudh Sethi claims Danny Group is going to buy Nila Infra, maybe that is a triger here?
will surely try to break 39500 tomorrow at any time in trading session, recovery at the end will be very sharp.
Shorting at these levels will be a foolish thing to do . if Market opens gap down tommorow there is no room for short. there is a buy opportunity and From my perspective Nifty can cross 18000 levels very soon.
book value is at least 75-80 RS for Yaari and noting to lose.Plus there is infusion on INR 500 cr by promoters. Looks like decision on R2 is any case IRDA has not given any license in last three years, and they have 12-13 new ventures waiting
remember if there is a big big downfall, next day there will be surely upward move u can see , so dont get panic hold , hold hold for big profit..
24 years I bought for 189. Target 211. Take over buzz was there a long time. Nothing happened. Languishing st 45-70 levels for long long time
Guys one thing i tell you dont sell this stock even if it is not moving its all about patience I held affle and credit access share for around 8 months didnot move and around 10 days ago I sold affle india on the same price 1100 .
Update bank nifty 39 k pe now 215 told youll exit now see 😂 😂 😂 😂 😂 see VIX also below 18.50, khatam sab Tata bye bye 😂 😂 😂 😂 😂 bola tha nifty support also at lows now see
JUPITER WAGON.....LATEST NEWS PUBLIC HOLDING FROM JUNE 2022 QUARTER IS ONLY & ONLY 6.93%......LOWEST PUBLIC HOLDING.....ANY GOOD NEWS OR ANNOUNCEMENT CAN COME ... HOPE SO
if today cross 53 rs..than tomorrow you see 55-57 level..if not cross than u see 47-50 level..wait and watch..
keep selling on every rise with stop-loss 17800 closing basis target 17000....16800 short term
it seems someone is going to sell 15 to 20 % stake like sona blw. insiders are selling before them.
Tata Motors rises on entering into strategic partnership with Renesas Electronics along with Tejas Networks
hold....add some qut ...after uc again.... operators ......buy and sold kar ...dont penic...
TGV on Monday 22nd Aug may cross 145 . It may give multifold returns in the near future. looking very positive. excellent financials and prepayment of loans is very postive for TGV. lets keep fingers crossed.
Debt position of adani green is worst than suzlon but still see the share price where it is as compared to suzlon. Suzlon has been purposely beaten down.
I am seeing all investors are very scared and Tomorrow morning expecting everyone to sell in panic so right now only I am thinking to place AMO sell order... very terrified results friends, very much nervous after this downtrend.
Buy Dilip buildcon its book value per share is around 242.8 so no need to worry at all.
This August which is yet to over nifty to test 18034 and bnf 39744 on Monday itself as per charts... today gas has been cleared from one side move.... weekly expiry 18175-18200 and bnf 40000-40100. DJI shd recover tonight.
POSTED IN MORNING THAT GAPUP OVER AND NOW GAPDOWN BEGAN 18K IMPOSSIBLE BCOS FROM MONDAY DAILY GAPDOWN DII FII PE BOT N HUGE QTY SOON BELOW 16K
jyada din niche nhi rahega iska price. Tyre shares are gaining which also use rubber as raw material
Surely, all of you have bought Infosys for the mid/long term and not for 1-2 weeks or 1-2 months. Take my advise - HOLD 100 stocks of Infosys for 25-30 years & do anything with the remaining stocks.
Too much manipulation going on in this counter. Not a BUY or SHORT call. Watch and trade. Long term no worries.
What a pity that the stock price of one of the navaratna companies which is the back bone of fuel supply to worlds fastest growing economy is running below its book value. Shame!!!
Fundamentally its a very strong stock , all divisions are firing, buy and keep it for posterity
expect dip its our right but no dip at all , pain will start now , nifty not go below 17750 even if war start , note dear , I am strongly bullish for target of 20 k very soon
What a move in NALCO is now at 83.50, shorters must be logical in their trading. Do not trade penny wise in paise after so much bulldozing. By all means it should have moved beyond 86 by now compared to NALCO.
SBI has also started start up funding for start up firm who can approach them for additional funding incase equity funding dries up. Good initiative from SBI to support credible start ups.
Novartis India annualized EPS will be at 45. With sectoral PE at 63 Novartis can trade above 2000. Huge potential upside as the trend of growth in bottom line will continue and pegged at 100 crores in FY23.
sgx just need any green index to boost upside...it doesnt care any index going red....Dow fut down 170 points but sgx stays strong...that indicates the strength and manipulation of FII...nifty will not fall in this month do not waste ur money in shorting
Nothing wrong in numbers and no need to worry. It will definitely close above in this week itself only
As per astro one more week of frustration in the forum, expecting massive movement from next week, one trigger and then its history as we say generally, rockets readying 🎯🚀🔥
metal cost is going down...auto sector boom...next quater is expected to be even better... promoter and hdfc increased stake...Target 🎯 should be around 950-1000!
Also the interest Paid from June 21 till June 22 is in the range of 513 cr to 521 Cr.
I FEEL CONFIDENT ABOUT POLYPLEX. I AM GOING TO SEE RESULTS FOR AT LEAST 2 QUARTERS TO TAKE A DECISION.
Wat a game changer after so many days. The monthly chart turned positive. This is after 4 months. It may not stop till it peaks out.
Do anyone in this forum is thinking that the people still interested to buying this scrip are fools?. Demand is still persisting for this scrip means everything is in proper channel.
A strong result and strong feeling is that NAVA mein accumulation chal raha hai. Closing se pehele shayad achi closing de.
guys fii are net buyer I think I have seen the chart becareful,about your short.i recommended to book profit not buy puts and short sell Intraday.
Sugar and Unallocated items have depressed profit figures but overall they are in OK. No fire works in this quarter.
i agree with you million King, whatever happens this quarter, God knows where it will move in short term, but in one year from now, it will be above 300.
No movement in strong bullish market .... Strength is weak ... Happy Investing !!!!
The govt. has dropped port and vessel charges on coastal shipping for six months and has also asked state govts. to lower the VAT on diesel used in shipping. Shreyas Shipping can be kept on the radar for this week.
going soon to 50 is the buzzword of the stock, as it seems to be going down, be ready to brace it
coz of finnifty expiry on monday, the distribution happened on Friday, except volatility tomorrow. 17200-17500, 37200-38150, very strong resistance at 38k and 17.45k.
GTL INFRASTRUCTURE touch this month end 🔜💥💥💥💥 continuous upper circuit after target RS 3-4 achieve then circuit revise 20% next will be face value before Diwali festival cheers 🔜🔥
A very good Company having Low Equity base of 15 Cr .High Profitability. Dont Sell a single Share. ..Share Price poised for a Huge Leap beyond Rs 2500
Gail....announcing bonus 1 share fr every 2 shares. it is profit...30%. again it has gained profits, stronand good stock to hold fr short term to gain 30%sure from here.
Selll indusind current lavel 1025 in 30 min.... Mark my words chears all 😊
excellent results, also very consistent in growth. big accumulation should hsppen soon. not advisable to sell. its future multi bagger.
It will touch 450 then after that it will move above 600 and 700 levels better to enter again between 450 to 465..
Buy caplin lab every price hold minimum 300 400 RS up said this price buy hold golden opportunity buy
any reason why the US Markets and european markets and even the asian markets have not reacted to the war news????? if all global would have sunk we would have definitely breached 17k by now......
International & domestic market falling heavily... trap for retail investor exit exit...
From 54 lakh... volume spurt to 67 lakh... told you guys Lupin heading towards 680
similar volumes, in the recent past, was seen on 13th april when the price was 167 and then the stock tumbled. It will be interesting to see how the stock behaves post todays volumes.
PE HOLDERS HOLD THE PE OOTIONS TILL EXPIREY THE MAJOR FALL EXPECTED TO FALL ON 4TH AUG SO KEEP TILL 4TH AUGUST WILL BE MORE AMOUNT TO PE HOLDERS
sgx will fly past 17550 and Nifty will just follow that. also Pelosi landed Taiwan nothing much happened. its all over for bears
it will take 60 years to reach 50 and better to nominee our grand child to get the benefits.
Dear All, As per Market intelligence their is huge shortage of optical fibre cable globally. This news is definitely going to give advantage to Apar as they also manufacture OFC. Stay investment to see upcoming momentum
Needs to trade higher around 2875/2925 to pick the paces from hereon. Tomorrow ka results could be one trigger for that to happen.
Today Sell Sell Sell Sell Sell at 37600-37500 levels for Target 37300 confirm confirm confirm confirm make my words today sure sure
There seems to be buying exhaustion at these levels or else 17 300 should have been crossed with ease today.
I hope it would be faster this time around, as the preparatory work has been going on for quite some time
earlier i posted 9upl buy buy buy cmp 727.00.. target .. 740/ 755/775) today mysecond target achieved... enjoy friends... keep in mind trailing stop loss ..... best of luck....
very good opportunity at this price for long term investors. Cant predict short term price movement.
i just shorted 10 lots of sun Pharma at 918 and bought 10 lots of cipla at 1004
I am holding 4 lots of 37500 CE at 340 Rs....Monday will be gap up or gap down opening..please share your views.
Nifty short term looks overbought expecting 300...400 points immediate correction Monday onwards
15 August is coming. If our PM says something on increasing employment in manufacturing sector and also few positive comments on Defence sector then this share will move higher and higher....
Good result 883 cr profit, Actually I expected loss but profit its good. People 👫 understood that loss in standalone profit and loss, kindly check consolidated statement of profit and loss is 883 cr profit.
Coal india new highss,rockingg,from 150 to 210 now,enjoy the moneyrain frnds !
is it possible for 200 plus by next week itself.. that is almost 25 percentage from here
Selling Pressure is increasing.... Sellers are more than double than buyers.....
Split hone ke 2 month ke Ander 300 jaayega aur aaj buy karne par 96 me hi padhega . Then why are you shorting. Just buy and hold .
because of. The stock has gained 16.5 percent since June lows..... this happen as usual............and also expiry coming....profit booking takesplace
right time to grab more... already fallen enough, it will start crossing its 52 weeks high soon...sit tight
Artificial price management by operator. Its price is stuck for past 1 hour.
Fed meeting affect stock market in this week.... better to trade with low volume and dont carry forward your postion ... this will be helpful for small traders....
hope this time vedanta will deliver and create wealth for the investors. thank you and good luck.
Very good results... keep fingers crossed...I will fly like rocket guys.. something big can happen
Wow great result profit of crores with eps of 158.40.Atleast expecting it to reach 450 rupees with UC
already 5 days market is UP side so monday market is Gap down open 1 % down market monday 100% sure🚨🚨🚨🚨🚨🚨🚨⭐⭐⭐⭐⭐
nothing will be from market cap company me bacha kya he . everything is Negative except book value pcj se baba ji ka thullu Milega
Guys think hdfc gdr up just .18 percent even icici gdr also re Liance gdr now came down hdfc bank may dip 4 percent on monday nifty bank to touch 35700 or below it and on Tuesday may breach 35300 to touch and engulf this week at 34700
Result are not good but last 1 year stock was not perform so its no and its situations.hold it
Money_Maker, hope alls on track for this seeing the 3k plus ke levels next week or in August?
while management change news came in May end, the share was slapped from 150 to 90 by panic selling. thinking RBL is wrong. But today its cleared, nothing went wrong. enjoy bull run in this script.
Tomorrow market will open big gan up.... Nifty 18000 and Bank nifty 37000 🎯🎯🎯🎯🎯 Confirmed
FMCG should do well now since commodity prices have started cooling off...Britannia and ITC have already started going up, may be this will too
all are fools. Bank nifty Monday depending upon HDFC Bank results. Do you know that guys?
Yup Knath even Ive heard about mandatory auditing only above 10Crs.. Below it one can easily choose to file it all byt themselves (completely as per their wish)..
Guys on 19 July we can expect an interim dividend of about Rs 20/ as Rs12/13 would be from Hind Zinc and rest depends on AAs largesse but be ready for a pleasant surprise. Jai ho.
chances are high that Monday there will not be LC. May open little positive then lock in UC. sellers drying up.
No logic for upmove. Seems like gap down on Monday. Better to buy below 34000. BN currently 34690
Bad days over for bulls uptrend started 14800 level will remain in dream for bears
Insider news leaked from some sources, they will post 300 core 0rofit and 3100 core revenue, so be careful now, anytime uc will start.
Meeting outcome still awaited ..Gov decision will come shortly on Excise reduction