HDFC LIFE โ VCP Breakout Attempt | ATH Test After 44 Months
๐ Structure: Volatility Contraction Pattern (VCP)
๐ฆ Base: Tight consolidation zone (rectangle)
๐ Trend: Higher Highs & Higher Lows
๐ข Volume: Gradually picking up
๐ฅ Last Session: Wide range bullish candle
๐ ATH Zone: Testing Sep 2021 high (44-month range)
๐ Price Action: Trading above Key DMAs
The stock formed a clean VCP structure with tight contractions and shallow pullbacks. It broke out from its recent base and is now testing the all-time high from Sep 2021, making this a high-stakes breakout watch.
Currently, itโs forming a breakout setup with entry above the previous dayโs close โ ideally confirming with more volume above โน790.
๐ Trade Plan
Entry: 781.85
Stop Loss (Close Basis): 690.15
Target 1: 875.95
Target 2: 963.15
๐ Risk & Reward
Risk: 11.75%
Target 1: 12.02%
Target 2: 23.18%
RR to T1: 1 : 1.02
RR to T2: 1 : 1.97
โ ๏ธ Risk Management Notes
Even though the structure is clean and momentum is building, risk remains high as the stock is trading at ATH levels โ a zone where volatility can spike.
Always remember:
Protect capital first โ never let a single trade ruin your portfolio
If it fails to hold above the breakout zone, pullbacks can be sharp
Donโt ignore market breadth and macro sentiment
Trade only with proper position sizing and SL discipline. If the breakout sustains with strength, this could enter a strong trend โ but risk-reward must justify the trade.
๐ This is not a buy/sell recommendation. Just a technical view for educational purposes.
๐ Structure: Volatility Contraction Pattern (VCP)
๐ฆ Base: Tight consolidation zone (rectangle)
๐ Trend: Higher Highs & Higher Lows
๐ข Volume: Gradually picking up
๐ฅ Last Session: Wide range bullish candle
๐ ATH Zone: Testing Sep 2021 high (44-month range)
๐ Price Action: Trading above Key DMAs
The stock formed a clean VCP structure with tight contractions and shallow pullbacks. It broke out from its recent base and is now testing the all-time high from Sep 2021, making this a high-stakes breakout watch.
Currently, itโs forming a breakout setup with entry above the previous dayโs close โ ideally confirming with more volume above โน790.
๐ Trade Plan
Entry: 781.85
Stop Loss (Close Basis): 690.15
Target 1: 875.95
Target 2: 963.15
๐ Risk & Reward
Risk: 11.75%
Target 1: 12.02%
Target 2: 23.18%
RR to T1: 1 : 1.02
RR to T2: 1 : 1.97
โ ๏ธ Risk Management Notes
Even though the structure is clean and momentum is building, risk remains high as the stock is trading at ATH levels โ a zone where volatility can spike.
Always remember:
Protect capital first โ never let a single trade ruin your portfolio
If it fails to hold above the breakout zone, pullbacks can be sharp
Donโt ignore market breadth and macro sentiment
Trade only with proper position sizing and SL discipline. If the breakout sustains with strength, this could enter a strong trend โ but risk-reward must justify the trade.
๐ This is not a buy/sell recommendation. Just a technical view for educational purposes.
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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.