


anujpa234
Very bullish on Mphasis. Given very good breakout on charts after some consolidation and we can expect another journey from this stock. Target: 2000+ Time Frame: 3-6 Months Stop Loss: 1450 on weekly closing basis.
Today after good consolidation, the stock has given good breakout with Huge volume. Fundamentally the stock is very good and have brilliant growth aspects. Sector wise I am very bullish on IT space for next 2-3 years. Target: 1000+ Time Frame: 1-2 months Stop loss: 790 on weekly basis
Chart is looking very good with rise in volume. It may give 20% like moves anytime. Low volume stock so, do your own risk analysis. Stop loss: 115 Target: 200+ Time Frame: 1 month
Dear Friends, I have started recommending stocks from last on month and most of the stocks have done well due to decent run in broader markets. It's time for broader market to cool down before starting the next leg of rally. So, my view on index is -ve from here and market may correct 400-500 points(NIFTY) from here. To save our capital and profit, it is wise...
Take solutions is ready to take off. It can give quick returns in 1 week may be 30-40%. Risky bet but good to capture fast moves in this counter. Stop loss:43 Target: 80 Time Frame: 3-4 weeks
Beautiful chart and super company with strong funds. Stop Loss: 275 Target: 500+ Time frame: 1 year. It can give quick returns after breakout, atleast 20-25%
Chart is bullish. Stop Loss:90 Target: 130 Time Frame: 2 months
Today stocks has given breakout from long consolidation range, it can easily give 20% return from here in next 1-2 weeks. Stop Loss:80(weekly closing basis) Target: 110-120 Time Frame: 2 Weeks
Super stock with good growth potential. Target: 60 Stop loss:40 Time frame: 1-2 months Long terms target is big, it may touch 100 in 6-9 months.
Super chart, good to accumulate this stock at CMP or if dips come. Target: 200+ stop loss: 120 on weekly basis Time frame: 3 months
After nice consolidation, the stock has managed to give breakout. Company is good fundamentally and stock is poised to perform. Stop Loss: 110 Target: 200+ Time Frame: 6 Months
It can rise 10-15% in quick time and touch resistance. If it crossed the resistance then we can see good targets. SL: 960 Target: 1200+ Long Term Target: 1500/1800
I like the chart and recent activities looks like this stock will give double return from here. Stop Loss: 5.2 Target: 14 Time Frame: 3 Months
Chart is looking bullish and given breakout with volume. Entry Level: 43-45 SL: 40 on weekly closing basis Target: 100+ in 9-12 months
Chart is looking bullish and change in price action. Stop Loss:127 Target:200+
Chart is looking good, given triangle breakout and very near about long term downtrend resistance cross. If sustain above 112 level then we can see good upside. Stop Loss: 100 ( 9% risk) Target - 170+
Chart again turn bullish after some downtrend. Company business is very demanding and we can see good upside from here. Stop Loss: 320 Target: 700++
Looks good on charts, breakout is completed if sustain above 68 levels Stop Loss: 63 Target 100+