Siemens trying to break the mid channel resistanceSiemens Ltd. is a technology company focused on industry, infrastructure, digital transformation, transport as well as transmission and generation of electrical power. Siemens has signed a 3 billion euro ($3.25 billion) contract to supply and service freight trains in India.
Siemens CMP is 3694.90. Negative aspects of the company are high valuation (P.E. = 69.7), declining cash from operations annual, MFs are decreasing stake. Positive aspects of the company are improving annual net profits, no debt, FIIs are increasing stake and zero promoter pledge.
Entry after closing above 3713. Target of the call will be 3779 and 3881. Long term targets in the stock will be 3953. Stop loss in the stock should be maintained at closing below 3315.
Stockstowatch
Why Bayer Stock is a Great Long-Term Investment OpportunityBayer AG is a German multinational pharmaceutical and life sciences company founded in 1863. The company is headquartered in Leverkusen, Germany, and employs over 100,000 people worldwide. Bayer's core business areas are human and veterinary pharmaceuticals, consumer healthcare products, agricultural chemicals, and biotechnology products.
Bayer stock is a great long-term investment opportunity for several reasons. The first one is that its stock has created a strong weekly demand level located at around 49 euros per share. This should be enough reason to buy Bayer AG stock shares. Secondly, the company has a strong history of financial stability and profitability. In addition, Bayer has a diversified product portfolio with exposure to many different industries. Bayer is committed to innovation and has a strong R&D pipeline.
Bayer AG is a publicly traded company with shares that trade on the Frankfurt Stock Exchange, and the company has a market capitalization of over €51 billion. The company's stock has not performed well in recent years, losing more than 70% of its value since up more than 50% since 2016. It's now a great opportunity to buy shares of Bayer AG stock. There is a lot of profit potential with room to reach €88 per share and higher.
ATUL Ltd.can accommodate growth. Atul Ltd. is an integrated chemical company serving about 4000 customers belonging to 30 industries across the world. The company product portfolio utility includes area of aromatics, crop protection, polymers, pharma ingredients and many more.
Atul CMP is 7014.15. Negative aspects of the company are high valuation (P.E. = 45.7), declining annual net profits, FIIs are decreasing stake and MFs are decreasing stake. Positive aspects of the company are no debt and improving cash from operations annual.
Entry after closing above 7056. Target of the call will be 7373 and 7884. Long term targets in the stock will be 8402 and 8921. Stop loss in the stock should be maintained at closing below 5594.
LIC of India trying to make a comeback after consolidation.Life Insurance Corporation of India is the largest multinational insurance corporation and an institutional investor with an asset under management of more than 45 trillion INR. The company offers insurance plans, pension plans, unit linked plans, withdrawn plans and health plans with many other group schemes.
Life Insurance Corporation CMP is 635.75. Negative aspects of the company are declining cash from operations and MFs are decreasing stake. Positive aspects of the company are improving annual net profits, no debt and zero promoter pledge.
Entry after closing above 643. Target of the call will be 653 and 666. Long term targets in the stock will be 681 and 704. Stop loss in the stock should be maintained at closing below 595.
VZTextbook Capitulation formation, very slow mover this is a weekly chart so analyze for your long term ports, dividend at this price is 8.3%, company is flush with cash so no signs of dividend being a problem. if you can lock in dividend at this price and catch any potential upside in price, this could be a jackpot trade.
NOK Nokia Oyj Options Ahead of EarningsAnalyzing the options chain of NOK Nokia Oyj prior to the earnings report this week,
I would consider purchasing the 4usd strike price Calls with
an expiration date of 2023-9-15,
for a premium of approximately $0.15.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
Looking forward to read your opinion about it.
Pfizer getting ready to make rapid movesPfizer is one of the world’s leading pharmaceutical company specializes in vaccines, hospitals, internal medicines and inflammation and immunology. Their manufacturing capacity is 4 billion tablets annually and supplied in neighboring countries of India.
Pfizer CMP is 3866. Negative aspects of the company are high valuation (P.E. = 28.3), MFs are decreasing stake. Positive aspects of the company are increasing annual net profits, improving cash from operations annual, no debt, FIIs are increasing stake and zero promoter pledge.
Entry can be taken after closing above 3901. Targets in the stock will be 3975 and 4006. Long term target in the stock will be 4069 and 4129. Stop loss in the stock should be maintained at closing below 3696.
Privi Speciality propending so special moves. Privi Specialty Chemicals Ltd. is the leading supplier and exporter of aroma and fragrance chemicals. The company expanded to manufacturing capacity of 50+ products to 40,000 tons per annum with a power of two manufacturing facilities situated in Mahad, Maharashtra and Jhagadia, Gujarat.
Privi Specialty Chemicals CMP is 1109.50. Negative aspects of the company are high valuation (P.E. = 194), declining annual net profits, declining cash from operations annual and MFs are decreasing stake. Positive aspects of the company are FIIs are increasing stake and zero promoter pledge.
Entry can be taken after closing above 1150. Targets in the stock will be 1198 and 1232. Long term target in the stock will be 1289 and 1357. Stop loss in the stock should be maintained at closing below 955.
Hindalco looking to hold ground and nudge ahead.Hindalco Industries Ltd. is the metals flagship company of Aditya Birla Group. It’s major operations include resource mining, Alumina refining, Aluminum smelting, Copper smelting etc. Hindalco ranks among the global aluminum majors as an integrated producer and footprint in 9 other countries.
Hindalco Industries CMP is 427.85. Negative aspects of the company are declining annual net profits, declining cash from operations annual and MFs are decreasing stake. Positive aspects of the company are no debt, FIIs are increasing stake and zero promoter pledge.
Entry after closing above 437. Targets will be 449 and 461. Long term targets in the stock will be 483 and 504. Stop loss in the stock should be maintained at closing below 381.
Pokarna may push aheadPokarna Ltd. is renowned for its for its quality, uniqueness, design and variation in Granite business. They have a strong presence in 23 countries and robust distribution network in which more than 80% of revenue comes from USA. The company is the largest manufacturer and exporter of quartz surface.
Pokarna CMP is 413. Negative aspect of the company is declining net cash flow. Positive aspects of the company are low debt, FIIs are increasing stake and zero promoter pledge.
Entry after closing above 437. Target of the call will be 449 and 461. Long term targets in the stock will be 483 and 504. Stop loss in the stock should be maintained at closing below 381.
Praj looking to prosperPraj Industries Ltd is the multinational bio technology and engineering company. The company operates in bio energy, Hi Purity system, critical process equipment like skids, they also manufacture equipment useful for waste water treatment and brewery, Ethanol and beverages. It has a global presence in more than 100 countries with a team for 1200+ professionals. Praj Industries CMP is 397.35.
Negative aspects of the company are high valuation (P.E. = 30.4), declining cash from operations annual and promoter decreasing stake. Positive aspects of the company are improving annual net profits, no debt, FIIs are increasing stake, MFs are increasing stake and zero promoter pledge.
Entry after closing above 408. Target of the call will be 429 and 444. Long term target in the stock will be 461. Stop loss in the stock should be maintained at closing below 360.
Sobha may increase (Sobha) decorum of your portfolioSobha Ltd is real estate & construction firm with 28 years of expertise in delivering premium quality residential homes and commercial spaces across India. The company owns four manufacturing facilities for interiors, concrete product and metal work. Sobha CMP is 576.20.
Negative aspects of the company are high valuation (P.E. = 48.2), declining annual net profits, FIIs are decreasing stake and MFs are decreasing stake. Positive aspects of the company are low debt, improving cash from operations annual, promoter unpledged stake and promoter holding increasing.
Entry after closing above 587. Target of the call will be 623 and 682. Long term targets in the stock will be 702. Stop loss in the stock should be maintained at closing below 511.
Necklace Pattern-Electcast SteelAny Idea about this Stock? Guess What -
Huge Volume whooping 50M+ Accumulated by institutional buyers over last 3-6 months.
Strong resistance near 200 MA
200 MA Break out.
Silent for some weeks, eliminating weak hands!
Necklace completion at 101 level, CMP around 59
Guess the Move ahead!
Polyplex can playwell from herePolyplex Corporation Ltd. has the 7th largest capacity of polyester film globally. The company supplies it’s products to 2650+ customers in 75 countries across Europe, America, Far East, Asia Pacific, Middle East and The Indian sub-continent.
Polyplex Corporation CMP is 1357.65. Negative aspects of the company are declining annual net profits, declining cash from operations annual and FIIs are decreasing stake. Positive aspects of the company are no debt and zero promoter pledge. dividend yield of Polyplex at CMP is 7.8%.
Entry can be taken after closing above 1364. Targets in the stock will be 1395 and 1439. Long term target in the stock will be 1487 and 1536. Closing above 1537 can take a stock to very long-term target of 1650. Stop loss in the stock should be maintained at closing below 1263.
NMDC nudging ahead...NMDC (National Mineral Development Corporation) Ltd. is a government undertaking and also India’s largest producer of iron ore. It produces more than 35 million tons of iron ore from three merchandised mines in Chhattisgarh and Karnataka.
NMDC CMP is 107.50. Negative aspects of the company is declining annual net profits. Positive aspects of the company are improving cash from operations annual, no debt, FIIs are increasing stake, MFs are increasing stake and zero promoter pledge. Dividend yield of NMDC at CMP is 3.5%.
Entry can be taken after closing above 110. Targets in the stock will be 114.40 and 118.15. Long term target in the stock will be 122.25 and 126.70. Stop loss in the stock should be maintained at closing below 99.
bosch looking bombastic long term ideaBosch is an engineering and technology MNC company. The company offers mobility, home, industry and trade solutions but approximately 84% of Bosch India business comes from its automotive segment.
Bosch CMP is 19042.35. Negative aspects of the company are high valuation (P.E. = 39.4), declining cash from operations annual and FIIs are decreasing stake. Positive aspects of the company are improving annual net profits, no debt, MFs are increasing stake and zero promoter pledge.
Entry after closing above 19320. Target of the call will be 19541 and 19825. Long term targets in the stock will be 20247. Stop loss in the stock should be maintained at closing below 17858.
Picking up infosys is an informed choice1. Infosys ltd. is an Indian multinational IT company that provides business consulting, IT services and outsourcing services. The company is the top employer for the third consecutive year in 2023 and have presence in more than 56 countries.
Infosys CMP is 1335.50. Negative aspects of the company are declining cash from operations and FIIs are decreasing stake. Positive aspects of the company are improving annual net profits, no debt, MFs are increasing stake, promoter holding increasing and zero promoter pledge.
Entry after closing above 1337. Target of the call will be 1365 and 1386. After closing above 1420 the long-term targets in the stock will be 1485. Very long-term target for a long run are 1574 and 1623. Stop loss in the stock should be maintained at closing below 1189.