๐ Trade Plan
๐ Entry: Above โน892
๐ Stop Loss (SL): โน758 (Closing Basis) (Risk: ~15% from entry)
๐ Retest Level to Watch: โน844 (Wait for a retest for further addition)
๐ CMP: โน872
๐ Why This Setup is Interesting?
โ Strong Uptrend โ Higher High (HH) & Higher Low (HL) structure intact
โ Resilient Stock โ Minimal decline during market corrections
โ Base Breakout โ Consolidated for 7 months, now breaking out
โ No Overhead Resistance โ Trading in open space with no historical supply
โ Above Key DMAs โ Trading above critical moving averages
โ Channel Structure โ Stock is inside a rising channel; ๐ Channel top might act as resistance
โ Breakout Volume โ Todayโs volume confirms strength
๐ Market Context & Risks โ ๏ธ
โ ๏ธ Nifty & Overall Market just closed above the 50 DMA but is still weak. Wait for 200 DMA reclaim for confirmation.
โ ๏ธ Breakouts are risky in a fragile market. FOMO can be costlyโtrade with patience.
โ ๏ธ Position Sizing is Key! โ Do not go all in; start small and scale gradually. If the market corrects and the stock remains strong, add later.
๐ Fundamental Snapshot ๐
Market Cap: โน22,865 Cr
Stock P/E: 15.4
Book Value: โน230
Dividend Yield: 0.61%
ROCE: 20.2%
ROE: 19.8%
Face Value: โน5
๐ Pros:
โ๏ธ Reduced Debt
โ๏ธ Healthy Dividend Payout (34.9%)
โ๏ธ Improving Sales YoY
โ ๏ธ Cons:
โ Stock trades at 3.51x Book Value
โ Low ROE (11.5%) over the last 3 years
โ Earnings include โน873 Cr of other income
๐ Disclaimer:
This is not financial advice. Risk management is crucial โ ensure proper position sizing & stop-loss discipline. The market is still fragile, and breakouts can fail. Always do your own research before taking any trade. ๐
๐ Entry: Above โน892
๐ Stop Loss (SL): โน758 (Closing Basis) (Risk: ~15% from entry)
๐ Retest Level to Watch: โน844 (Wait for a retest for further addition)
๐ CMP: โน872
๐ Why This Setup is Interesting?
โ Strong Uptrend โ Higher High (HH) & Higher Low (HL) structure intact
โ Resilient Stock โ Minimal decline during market corrections
โ Base Breakout โ Consolidated for 7 months, now breaking out
โ No Overhead Resistance โ Trading in open space with no historical supply
โ Above Key DMAs โ Trading above critical moving averages
โ Channel Structure โ Stock is inside a rising channel; ๐ Channel top might act as resistance
โ Breakout Volume โ Todayโs volume confirms strength
๐ Market Context & Risks โ ๏ธ
โ ๏ธ Nifty & Overall Market just closed above the 50 DMA but is still weak. Wait for 200 DMA reclaim for confirmation.
โ ๏ธ Breakouts are risky in a fragile market. FOMO can be costlyโtrade with patience.
โ ๏ธ Position Sizing is Key! โ Do not go all in; start small and scale gradually. If the market corrects and the stock remains strong, add later.
๐ Fundamental Snapshot ๐
Market Cap: โน22,865 Cr
Stock P/E: 15.4
Book Value: โน230
Dividend Yield: 0.61%
ROCE: 20.2%
ROE: 19.8%
Face Value: โน5
๐ Pros:
โ๏ธ Reduced Debt
โ๏ธ Healthy Dividend Payout (34.9%)
โ๏ธ Improving Sales YoY
โ ๏ธ Cons:
โ Stock trades at 3.51x Book Value
โ Low ROE (11.5%) over the last 3 years
โ Earnings include โน873 Cr of other income
๐ Disclaimer:
This is not financial advice. Risk management is crucial โ ensure proper position sizing & stop-loss discipline. The market is still fragile, and breakouts can fail. Always do your own research before taking any trade. ๐
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.