1. Consolidating in a box having area of 20 points 2. Retracement done from high to low (0.5 fib level) 3. Double Trendline Resistance 4. Decent delivery percentage (around 43% on 14/ 05 /2021)
TWO STRATEGIES :
(1)
Buy above 204 for a near term TARGET OF 215-220
SL - 199 (daily closing basis)
(2)
ACCUMULATE TILL 0.618 fib level.... a good move till 240 can be seen.
Time : 1 Month
FAVOURABLE RISK TO REWARD = 1:4 (for Target->218)
TIP : FINANCE SECTOR IS WEAK AS OF NOW.... START BUYING....IT CAN SHOOT UP ANYTIME :)
Trade according to your RISK MANAGEMENT .Levels provided are just for educational purposes.
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