Strong fundamentals breakout Entry CMP
Stop 506
Breakout trading implementation:
1. **Identifying New Trends:** Breakout trading helps traders identify the beginning of new trends by focusing on price levels where an asset breaks out of its historical trading range.
2. **Volatility Indicator:** Breakouts often occur when there's increased volatility in the market. Monitoring breakouts can provide insights into shifts in market sentiment and potential price movements.
3. **Entry Points:** Breakout points serve as potential entry points for traders looking to ride the momentum of a newly established trend. Buying on a breakout can capture the early stages of a price movement.
4. **Confirmation of Strength:** Successful breakouts indicate the strength of a trend. If an asset breaks out with high volume and follows through with sustained price movement, it suggests a strong trend in that direction.
5. **Avoiding False Signals:** Breakout strategies often include using indicators or confirmation signals to avoid false breakouts. This can enhance the accuracy of trade decisions.
6. **Defined Risk and Reward:** Breakout trading allows for setting clear stop-loss levels below the breakout point, which helps manage risk. Traders can also calculate potential profits based on the distance between the breakout point and a projected target.
7. **Adaptable to Various Markets:** Breakout trading can be applied to various markets, including stocks, forex, commodities, and cryptocurrencies. The concept remains consistent across different assets.
8. **Flexibility:** Traders can adapt breakout strategies to their preferred timeframes, whether they are day traders, swing traders, or long-term investors.
9. **Liquidity Opportunities:** Breakout points are often associated with increased trading volume, which can provide better liquidity for executing trades.
10. **Risk vs. Reward Assessment:** Traders can evaluate the potential risk of a trade (stop-loss) against the potential reward (target price), aiding in decision-making and portfolio management.
11. **Psychological Advantage:** Successful breakout trades can boost a trader's confidence and discipline, reinforcing the effectiveness of their strategy.
12. **Market Events:** Breakouts can occur around significant market events such as earnings reports, economic data releases, or geopolitical developments, offering traders opportunities to capitalize on sudden price movements.
Remember, while breakout trading offers potential advantages, it also carries risks. False breakouts and market reversals can lead to losses. Successful implementation requires a solid understanding of technical analysis, risk management, and the ability to adapt to changing market conditions.
MAHSEAMLES trade ideas
MAHSEAMLES - Moving into the next OrbitThe stock has been has been rising from the low from the beginning of the year. It has been consolidating for almost two months. Also we saw "SPRING" pattern during the re-accumulation.
Relative Strength, Money Flow and Buying pressure all positive. Today the stock is trying to move out of the re-accumulation zone. A positive close with volume support above 502 will take the stock to higher levels.
Maharashtra Seamless Ltd.*Maharashtra Seamless Ltd.*
C&H Pattern: Yrly Basis
Price BreakOut, Good to Go!!!
Vol. Consolidation & Continued Vol. BuiltUp.
*With Upside, Trail SL*
*Book Profit as per Risk Appetite*
*Snapshot:*
Estab. in ’88, part of DP Jindal Group. Mfg. Seamless Steel Pipes / Tubes.
Also in Renewable Power Generation (59.5 MW).
Prod. Capacity: SP (450,000 TPA) / ERW Pipes (1,25,000 TPA)
Acquired under IBC Proceedings in FY19, USTPL (Seamless Pipe Mfg. Capacity of 200,000 TPA).
Sound Leverage. Adequate ICR. Low Equity Base.
Improved RoA / RoE / RoCE over Past 3 Yrs. PE at 10.1x vs. Ind. PE at 17.6x
Rising Sales / Profitability: Qtrly (Fluctuating) / Yrly Basis.
Continuous Stake Increase by Promoters Since Sep’21
*Concern:*
Investments in Group Cos.: ~Rs.337 Crs (FY22 = ~7% of Equity).
Vulnerability to cyclicality associated with Oil / Gas industry.
*Do Your Own Research as Well. This is Just an Opinion.*
Happy Investing :)
Maharashtra Seamless LtdManufacturer of :
ERW Pipes - MS & Galvanized Pipes, API Line Pipes, OCTG, OCTG Casing Tubing.
Seamless Pipes - Hot Finished Pipes & Tubes, Cold Drawn Tubes, Boiler Tubes, API Line Pipes, OCTG, OCTG Casing, and Tubing, OCTG Drill Pipe.
Coated Pipes - 3LPE, FBE, 3LPP, Internal Coating, Premium Connections, Pipe Fittings.
Company with good fundamentals - Except cashflow (negative)
Trading above all moving averages looking bullish , break out above 52 week high will take out 950 rupees - Target 1
MAHASEAMLES stock can be the positional trade of the day.NSE:MAHSEAMLES
The video is self-explanatory. Add this stock to your watchlist.
Aim for 5-8% if it breaks the trend line as it can be easily achievable in 1-3 days.
My belief is to choose high winning probability trade with a risk-reward ratio going from 1:1 to 1:2.
The reason for booking profit of only 4-8% is because the market direction is not sure at this point. So better to aim for 1:1 risk-reward and rotate your money in better opportunities.
It is an analysis video. Take your decision on your own.
If you have any questions or suggestions, please leave a comment below.
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Long BreakoutPrice was rejecting from these levels continuously making red candles during the process for 3 weeks. Finally now price has given breakout with bullish momentum creating green candle with good volume.
Target - Might make crazy move like it did last month or at least 10% that would be 580 .
Stoploss - Below today's candle 506
Breakout of Channel patternThe stock BO'd yesterday with good volumes..the only concern is that this stock has sporadic momentum ( see green volume bars highlighted by arrows), although of late it has had some good sessions...targets marked. Trade cautiously. This is not a recommendation, just an idea
Good to go LongStatistical Brief
Market Cap₹ 1,904 Cr.
Current Price₹ 284 High / Low₹ 354 / 185
Debt to equity0.32 EPS₹ -13.2 ROCE10.7 %
ROE5.24 % ROE 3Yr7.88 % ROE 5Yr5.44 %
Return over 1year49.6 % Return over 3years-14.2 % Return over 5years10.3 %
Profit growth-56.7 % Profit Var 3Yrs16.4 % Profit Var 5Yrs13.0 %
Promoter holding63.8 % Pledged percentage0.00 % Return on assets5.26 %
Stock P/E12.5 Industry PE15.8 CMP / FCF10.2
Current Resistance @ 354 Trend Positive
Target - First 320/354 Target - Second 450
Support 265 Pattern Cup & Handle