LARSEN & TOUBRO LTD.
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Positional_ Larsen and Toubro

1. LT has formed Cup and Handle Pattern in weekly timeframe.
2. I am expecting a breakout.
3. SL, Entry and Target to be posted afterwards.

Disclaimer: The views expressed in this article is of my own and you're solely responsible for any decision taken in the markets resulting in financial gains or losses. The analysis I've shared is just for informational and educational purposes.
Nota
Buying above Rs 1531, SL 1502.50, Targets to be posted soon.
Nota
Waiting for another entry price, earlier entry cancelled.
Nota
Buying above Rs 1525, SL Rs 1496, Targets to be decided soon.
Dagangan aktif
Nota
Book profits at Rs 1615
Dagangan ditutup: sasaran tercapai
Nota
I expect anyone who is reading my writings to know that there is nothing "certain" in the markets. Neither the %gain on stock nor "out-performance" or "under-performance". There is a risk and opportunity cost involved in both, buying and selling. Selling at any price can often result in "opportunity loss" when the stock moves higher and higher. Human psychology is a culprit here. For e.g. I post any stock which seems undervalued or overvalued to me on tradingview. When anyone makes money on that, they wont appreciate me "a single word". But when they lose or it results in opportunity loss, they are bound to blame me. I don't criticize any person, because I know their psychology has defeated them. At last, there is nothing like "easy money" in the markets. The survival of the fittest holds absolutely true here.

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