After giving sell call between 460 to 490 in December 2022...Now looks like Buying is emerging and stock has potentially bottomed out.
Rounding bottom seems to be in progress now with weekly MACD giving buy signal and daily chart is now moving above short term moving averages...
Buy once closes above 310 with closing basis Stoploss of 280 for medium term target of 450 600 by year end...
Rounding bottom seems to be in progress now with weekly MACD giving buy signal and daily chart is now moving above short term moving averages...
Buy once closes above 310 with closing basis Stoploss of 280 for medium term target of 450 600 by year end...
Note
Call given yesterday 304 to 317Note
323 Bazooka moveNote
Stock has posted BAD results but if manages to give weekly close below 280...we need to exit from this position...I think bad results are already factored in price
Note
320 again even after bad results...stock has potential to doubleNote
333Note
345 so farNote
367 so farNote
from 304 to 378 now trading near 350 zones...be cautious around 340 zones...Weekly close below 340 can distort chart...
Note
Fresh Breakout on Laurus...Had some volatility because of Results now looking good...Note
404 from 304 :DNote
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Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.