Stockstowatch
#ACC Looking good in coming days #ACC... ✅▶️
Intraday as well as swing trade
All levels given in charts ...
IF good potential seen then we work in options also
if activate then possible a huge movement Keep eye on this ...
We take trade only when it activates...
Possible to give good target
TRADING FACTS
Z Zillow Group Options Ahead of EarningsIn my opinion, Zillow, a well-known online real estate platform, is poised to witness a significant drop in revenue this quarter due to various factors.
Firstly, there seems to be a lack of interest among potential customers in utilizing their services.
Additionally, with interest rates currently high, it is possible that fewer people will be interested in purchasing homes, which could further impact Zillow's revenue.
These challenges, along with other market factors, make it a tough quarter for Zillow, and the company will need to navigate these challenges carefully to maintain their market position.
Now analyzing the options chain of Z Zillow Group prior to the earnings report this week,
I would consider purchasing the 40usd strike price Puts with
an expiration date of 2023-12-15,
for a premium of approximately $4.35.
If these options prove to be profitable prior to the earnings release, I would sell at least half of them.
I am interested to hear your thoughts on this strategy.
Map My India is a futuristic investment for a long term. C.E. Info System Limited is known as Map My India Company. This is an Indian technology company that build digital map data, telematics service. company combines data & technologies to build proprietary products and platforms. CMP of the stock is 1098.20.
Negatives of the company are high valuation (P.E. = 54.9). Positive aspects of the company are zero promoter pledge, no debt, improving annual net profit, improving quarterly net profit and FIIs and MFs are increasing stake.
Entry in the stock can be taken after closing above 1101. Targets for will be 1153 and 1193. After closing above 1193 there will be a breakout in true sense and then the stock can gallop towards long term targets of 1234 and 1300+. Stop loss in the stock can be kept at a closing below 1039.
Clean Science is a futuristic investment.Clean Science and Technology Limited is known as CSTL. Company is a fine and specialty chemical manufacturer. Specialty chemicals manufactured by them are diversified into 3 major segments i.e. performance chemicals, Pharmaceutical chemicals, and FMCG Chemical. CMP of the stock is 1444.
Negative aspects of the company is it’s high valuation (P.E. = 55.4). Positive aspects of the company are zero promoter pledge, no debt, improving annual net profit, improving quarterly net profit and MFs increasing their stake.
Entry in the stock can be taken after closing above 1461. Targets for will be 1494 and 1538. Closing above 1538 will open the doors for long term targets of 1581 and 1621. Stop loss in the stock can be kept at a closing below 1368.
$APPL #Apple Can FallTraders and Investors,
As the earnings seasons is here, looking at APPLE shows that there could be a fall coming. Reasons:
1. W pattern completed
2. Trend Line
3. Bearish Structure
The last short set up gave us great profits.
Manage the risk and make sure that you are watching stock movement closely along with US30 (Dow Jones)
Rules:
1. Never trade too much
2. Never trade without a confirmation
3. Never rely on signals, do your own analysis and research too
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Take care and trade well
-Vik
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📌 DISCLAIMER
The content on this analysis is subject to change at any time without notice, and is provided for the sole purpose of education only.
Not a financial advice or signal. Please make your own independent investment decisions.
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Going further and Further Borosil Renewable Borosil Renewable Limited is the first and only solar glass manufacture in India. The Borosil group which is well-known for the Brand “BOROSIL”. Company manufactures a range of lab ware, scientific ware and consumer ware products. CMP = 527.15.
Negatives of the company are High Valuation (55.8) and Declining quarterly net profit. Positives of the company are Low debt, zero promoter pledge, improving annual net profit and FIIs are increasing stake.
Entry in Borosil Renewable can be taken after closing above 534.The target of the stock will be 555 & 590. Long term target of the stock will be 627. Stop loss in the stock can be kept at a weekly closing below 478.
Bombay Burmah (BBTC) Looking good. The Bombay Burmah Trading Corporation Limited in short known as BBTC. BBTC is a 150 years old company. The company has diversified its interest in Tea, Coffee, other plantation product, biscuits and dairy product. Company also has other business also i.e. Auto electrical components, Dental products, Horticulture activities, Weighing products. CMP = 977.85.
Negatives of the company are High Valuation (-57.3) and Declining quarterly net profit. Positives of the company are Low debt, zero promoter pledge, improving annual net profit and FIIs are increasing stake.
Entry in BBTC can be taken after closing above 986. The target of the stock will be 1046. Long term target of the stock will be 1115 and 1181. Stop loss in the stock can be kept at a weekly closing below 883.
Jubilant may see a jump after being beaten down to the pulp?Jubilant Foodworks company is an Indian food service. company is a part of Jubilant Bhartiya Group. Company holds 3 master franchise i.e Domino’s Pizza, Dunkin’ Donuts and Popeyes. Company also launched its homegrown brand i.e Hong’s Kitchen in Chinese Cuisine segment. Company currently has a more than 1701 outlets for Domino’s Pizza, Dunkin’ Donuts and Hong’s Kitchen.
CMP of the stock is 442.55. Negatives of the company are high valuation (P.E. = 69.3), high promoter pledge and FIIs decreasing stake. Positives of the company are No debt, improving annual net profit and MFs are increasing stake.
Entry in the stock can be taken after closing above 450. The target will be 470 and 493. Final target can be 512. In case the stock gives closing above 517, long term negative trend will be over and the stock can then sail to 536 and 550+ levels. Stop loss in the stock can be maintained at a weekly closing below 410. The stock can be a long term investment idea.
Asian Paints a long term investment idea and a portfolio stockAsian Paint company is well known as Paint company. Company became corporate force and India’s leading paint company. Company manufactures a wide rang of paints for decorative and industrial use and also offers wall coverings, water proofing, adhesives and other related services. Company also manufactures home improvement bath and kitchen products. CMP of the stock is 2882.10.
On the back of low crude prices, the stock seems to be poised for a rally. Negatives of the company are high valuation (P.E. = 74.3) and MFs are decreasing stake. Positives of the company are No debt, improving net profit and company trying to decrease it’s pledging. The company is a portfolio stock and a long term investment idea.
X/2 Entry in Asian paints can be taken after closing above 2885. Final entry in the stock can be taken after closing above 2975. The targets for the stock will be 3028 and 3152. Long term targets for the stock will be 3242 and 3300+. Stop Loss in the stock can be kept at a weekly closing below 2693.
Strong Momentum Stock !! Deep Industries Ltd.As on Chart Analysis Stock Gained more than 20 % in one Month
Stock Break Previous high, and make new all time high @ 167.85
now stock can Retest B.O level and set to Jump again .....
That Can Move 161/163 to 180, above in coming days ....
SL 136
( Company's Fundamentals are Good )
only Educational purpose ...
SSWL Looking to build on the momentumSteel Strips Wheels Limited is known as SSWL. Company designing and manufacturing automotive wheels. Company has capacity of manufacturing about 20+ million. SSWL has Two types of verticals steel wheels and alloy wheels. CMP of the stock is 159.15. Negative aspect of the company is high promoter pledge. Positives aspects of the company are low debt, improving quarterly net profit, improving annual net profit and MFs are increasing stake. Entry in the stock can be taken after closing above 162. Targets will be 166 and 174. Long Term target in the stock will be 184 and 190. Stop Loss in the stock should be kept at a closing below 139.
Escorts Looking good after strong consolidationEscorts Kubota Limited is one of India’s leading engineering conglomerates operating in the high-growth sectors of agri-machinery, construction & material handling equipment, railway equipment and auto components. With over 1 million tractors in the fields in India, 16,000 construction and material handling equipment and 5 million auto-components manufactured till date, Escorts becomes a long term investment story. CMP of the stock is 1961.95. Negatives of the company are High valuation (P.E. = 42.4). Declining annual net profit and FIIs are decreasing stake. Positives of the company are No debt, zero promoter pledge & MFs are increasing stake. Entry in the stock should be done after closing above 1992. Targets in the stock will be 2046 and 2142. Medium term target will be 2213. Long term target in the stock will be 2287 and 2361. Stop loss in the stock should be maintained at a Monthly closing below 1769. The stock is long term investment idea.
clean breakout by Camlin Fine ScienceCamlin Fine Science Company first began with ink powders and tablets in Mumbai in 1931 by the name of Camel Ink. The current name CAMLIN was christened by Combining the words in its earlier name ‘Camel Ink’. Camlin Fine Science Limited today is an integrated manufacturer of antioxidants for Shelf-Life Solutions, bio fuel, aroma ingredients, health & wellness, Pet food ingredients, Animal nutrition and performance chemicals. CMP of the stock is 154.55. Negatives of the company is High valuation (P.E.= 54.1) and FIIs and MFs are decreasing stake. Positives of the company is Zero promoter pledge, Low debt, improving quarterly net profit and improving annual net profit. Entry in the stock can be taken after closing above 156.5. The targets will be 163 and 169. Long term target in the stock will be 175+. Stop loss should be maintained at Weekly closing below 140.
Tata Elxsi a giant trying to wake up from slumber. Tata Elxsi a giant trying to wake up from slumber. It has not woken up yet. It will fully wake up only after closing above 6877 but till then here is what you can do.
Tata Elxsi provides design and technology services to various companies across sectors like Automotive, Broadcast, Communication, Healthcare and Transportation. Company is also helping customers reimagine their products and services through design and digital technologies such as Internet of things, Cloud, Mobility, Virtual Reality and Artificial Intelligence. CMP of the stock is 6201. Negatives of the company are High valuation (P.E.= 54.1) and FIIs and MFs are decreasing stake. Positives of the company is Zero promoter pledge, no debt, improving quarterly net profit and improving annual net profit. Entry in the stock can be taken after closing above 6269 levels. The targets will be 6382, 6513 and 6612. Long term target in the stock will be 6739 and 6800+. The stock is a long term investment idea. Stop loss should be maintained at Monthly closing below 5721.
Never Say Die Stock - "Data Patterns"Data Patterns is a vertically integrated defense and aerospace electronics solutions
provider catering to the indigenously developed defense products industry. The
company has proven in-house design & development capabilities and experience of
more than three decades in the defense and aerospace electronics space. They have clients like ISRO, DRDO & HAL etc. Reserves to Borrowing ratio is also attractive.
Source - Screener.in.
If it crosses 1440 level, it may give us a new high. This is a study purpose chart & NOT a By call or recommendation!
REC Ltd. Looking Good For a Long Term Investment.REC Limited is a Maharatna PSU under the Ministry of Power. Company business activities involve financing projects in the complete power sector value chain, be it generation, transmission or distribution. CMP- 117.10. Negatives aspect of the company is FIIs and MFs decreasing stake. Positives aspect of the company are zero promoter pledge, improving annual net profit and improving quarterly net profit. Entry in the stock can be taken after closing above 118 levels. The targets will be 120, 123 and 126. Long term target in the stock will be 128+. The stock is a long term investment idea. With a dividend yield of 10.1 at current market price. Stop loss should be maintained at Monthly closing below 104.
IRFC looking good for Long term. Indian Railway Finance Corporation is a schedule “A” public sector enterprise under the administrative control of the ministry of Railway, Government of India. Company has also been leading to various entities in Railway sector like Rail Vikas Nigam limited (RVNL), Railtel, Konkan Railway Corporation limited (KRCL), Pipavav Railway Corporation Limited (PRCL), etc. CMP – 27.95. Negatives aspect of the company are FIIs and MFs are decreasing stake. Positives aspect of the company are zero promoter pledge, improving annual net profit and improving quarterly net profit. Entry in the stock can be taken after closing above 28.3. The targets will be 29.5 and 30.9. Long term target in the stock will be 32 and 34+. The stock is a long term investment idea. With a dividend yield of 5.1 at current market price. Stop loss should be maintained at Monthly closing below 25.
BEL trying to ring the right bellsBharat Electronics is a Navratna PSU under the Ministry of Defence (Government of India). Company is also known as BEL. Company manufacture state of the art electronic product and system for the Army, Navy and the Air Force. CMP of the stock is 97.55. Negative aspect of the company is FIIs and MFs are decreasing stake. Positive aspects of the company are no debt, zero promoter pledge, improving annual net profit, and improving quarterly net profit. Entry in the stock can be taken after closing above 98.5 Target in the stock will be 103.9. Long term target in the company can be 110 and 114+. Stop Loss should be maintained at a closing below 87.
Grindwell Looking for a Grand Breakout.Grindwell Norton Company has two types of business, Abrasives Business and Ceramics Business. In Abrasives business they manufacture a full range of bonded abrasives, coated abrasives (including non-woven Abrasives) and Super abrasives. In Ceramics business they manufacture refractory systems for high temperature, ballistics and wear application. CMP of the stock is 1878.40. Negatives of the company are high valuation (P.E. = 59) and MFs decreasing stake. Positives of the company are no debt, zero promoter pledge, improving annual net profit, improving quarterly net profit and FIIs are increasing stake. Entry in the stock can be taken after closing above 1900. Targets for will be 1960 and 2023. Long term target in the stock will be 2152 and 2189. Stop Loss in the stock can be kept at a closing below 1723 closing.
BCLI Brainstorm Cell Therapeutics Options Ahead Of EarningsLooking at the BCLI Brainstorm Cell Therapeutics options chain ahead of earnings , I would buy the $2 strike price Calls with
2023-8-18 expiration date for about
$0.50 premium.
If the options turn out to be profitable Before the earnings release, I would sell at least 50%.
Looking forward to read your opinion about it.