Panjang
AMARAJABAT: Is Back to Back HARMONIC ? Decent Upside AHEAD

AMARAJABAT: @ 849.75
Is Back to Back HARMONIC ?
Possible Decent Upside AHEAD.
Scenario #1: If Formation towards Harmonic Bearish GARTLEY, TGT: Nominal Upside & Should be @ 912+
Scenario #2: If Formation towards Pattern "W", TGT: Decent Upside & Should be @ 977+ (May Be in Between @ 959 - @ 981)
Scenario #3: If Formed Harmonic Bearish CRAB TGT Should be @ 1024+
Bouncing from Near Fib Retracement 0.236. (Actual: 0.1785)
Technical: Indicators & Oscillators Like - MACD, StochRSI, RSI, Stoch, OBV etc. Confirm REVERSAL (i.e. towards UP Trend)
Best LONG @ 845 - @ 837.
SWING/Intra TGT: @ 855, @ 863, @ 866 - 868 (HZ), @ 876. REST on the Chart.
To motivate please Like/ Share / Comment.
Disclaimer: Only For STUDY. For taking Trade Decision Consult Financial Advisor.
Is Back to Back HARMONIC ?
Possible Decent Upside AHEAD.
Scenario #1: If Formation towards Harmonic Bearish GARTLEY, TGT: Nominal Upside & Should be @ 912+
Scenario #2: If Formation towards Pattern "W", TGT: Decent Upside & Should be @ 977+ (May Be in Between @ 959 - @ 981)
Scenario #3: If Formed Harmonic Bearish CRAB TGT Should be @ 1024+
Bouncing from Near Fib Retracement 0.236. (Actual: 0.1785)
Technical: Indicators & Oscillators Like - MACD, StochRSI, RSI, Stoch, OBV etc. Confirm REVERSAL (i.e. towards UP Trend)
Best LONG @ 845 - @ 837.
SWING/Intra TGT: @ 855, @ 863, @ 866 - 868 (HZ), @ 876. REST on the Chart.
To motivate please Like/ Share / Comment.
Disclaimer: Only For STUDY. For taking Trade Decision Consult Financial Advisor.
Dagangan aktif
LTP @ 840.35made a LOW @ 837.7.
Mentioned BEST BUY @ 845 -@ 837.
Dagangan aktif
✅ Strategy For FnO Trader:AMARAJABAT Fut: @ 839
LONG Futures 27-07-2017: @ 839
+ SHORT 880CE 27-07-2017: @ 5.4,
+ LONG 840 PE 27-07-2017: @ 21
Strategy Price (Net Option + Future Premium): 15.6 Point / LOT
Max LOSS: 14.60 Point / Lot. (Rs. 8760.00)
MAX Profit: 25.40 Point/ LOT (Rs. 15240.00)
Price as per LTP.
Dagangan aktif
Till Now As per LTP. AMARAJABAT Fut: @ 863.45 (Given @ 839)
Profit from LONG Futures 27-07-2017: 863.45 - 839 = 24.45 point
Loss from SHORT 880CE 27-07-2017: 14.10 - 5.40 = 8.70 point
Loss LONG 840 PE 27-07-2017: 21 - 12.50 = 8.50 point
Strategy Price (Net Option + Future Premium):
=> (24.45 - 8.70 - 8.50) Point = 7.25 point / LOT.
Till NOW Profit Rs. 4350.00 / Lot.
Strategy Update / Modify on Query.
Penerbitan berkaitan
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.
Penerbitan berkaitan
Penafian
Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.