Price Action:
- Current Price: ₹656.75 (+9.37% gain)
- Trading Range: ₹553.00 - ₹1,020.00
- Market Cap Category: Mid-cap stock with decent liquidity
- Chart Pattern: Extended consolidation phase with recent breakout attempt
Support and Resistance Levels
- Primary Resistance: ₹760-780 zone (red horizontal line)
- Secondary Resistance: ₹1,020 (previous high)
- Immediate Support: ₹620-640 zone
- Major Support: ₹553-580 zone (green horizontal rectangle)
- Critical Support: ₹553 (52-week low)
Base Formation:
- Base Type: Rectangle/Sideways consolidation base
- Duration: Approximately 6 months (January 2025 to June 2025)
- Base Depth: ~45% correction from highs
- Base Quality: Tight consolidation with reduced volatility
- Breakout Characteristics: Recent volume spike suggests potential base completion
Technical Patterns:
- Rectangle Pattern: Clear horizontal support and resistance boundaries
- Volume Accumulation: Declining volume during consolidation, spike on recent move
- Flag Formation: Potential bull flag pattern forming at current levels
- Double Bottom: Possible formation around ₹553-580 support zone
Volume Spread Analysis
- Volume Characteristics: 21.57M shares traded (above average)
- Volume Pattern: Higher volume on up days, lower on down days
- *Accumulation Signs: Volume spike coinciding with price breakout attempt
- Volume Confirmation: Recent breakout supported by increased participation
Trade Setup:
Entry Strategy:
- Primary Entry: ₹650-665 (current levels on pullback)
- Aggressive Entry: ₹680-690 (on breakout above resistance)
- Conservative Entry: ₹620-630 (on retest of support)
Exit Levels:
- Target 1: ₹750-760 (15% upside)
- Target 2: ₹850-880 (30% upside)
- Target 3: ₹980-1,000 (50% upside)
Stop Loss Levels:
- Tight Stop: ₹620 (5% risk)
- Swing Stop: ₹580 (12% risk)
- Position Stop: ₹550 (16% risk)
Position Sizing:
- Conservative Allocation: 2-3% of portfolio
- Moderate Allocation: 4-5% of portfolio
- Aggressive Allocation: 6-8% of portfolio (for risk-tolerant investors)
Risk Management:
- Risk-Reward Ratio: Minimum 1:2 for all entries
- Portfolio Risk: Maximum 2% portfolio risk per position
- Position Monitoring: Weekly review of technical levels
- Profit Booking: 25% at Target 1, 50% at Target 2, remainder at Target 3
Sectoral Backdrop:
Auto Components Sector Overview
- Sector Performance: Recovery phase post-COVID disruptions
- Growth Drivers: EV transition, export opportunities, aftermarket demand
- Challenges: Raw material inflation, supply chain disruptions
- Government Support: PLI schemes, Make in India initiatives
Forging Industry Dynamics
- Market Position: Specialised manufacturing with high entry barriers
- Demand Drivers: Commercial vehicle recovery, export growth
- Competitive Advantage: Technical expertise, established client relationships
- Cyclical Nature: Linked to auto industry cycles and capex spending
Fundamental Backdrop
Company Overview
- Business Model: Automotive forging components manufacturer
- Key Clients: Major OEMs in domestic and international markets
- Product Portfolio: Crankshafts, connecting rods, front axle beams
- Manufacturing Facilities: Multiple locations with modern equipment
Financial Health Indicators
- Revenue Growth: Recovery trajectory expected post-consolidation
- Margin Profile: Improving operational efficiency
- Debt Levels: Manageable debt-to-equity ratios
- Cash Flow: Positive operating cash flow generation
Growth Catalysts
- Export Expansion: Increasing share in global supply chains
- Product Diversification: Entry into new automotive segments
- Technology Upgrades: Investment in advanced manufacturing
- Market Recovery: Commercial vehicle segment revival
Risk Factors
- Cyclical Demand: Vulnerability to auto industry downturns
- Raw Material Costs: Steel price volatility impact
- Competition: Pressure from low-cost manufacturers
- Regulatory Changes: Environmental and safety compliance costs
My Take:
Keep in the Watchlist.
NO RECO. For Buy/Sell.
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Disclaimer: "I am not a SEBI REGISTERED RESEARCH ANALYST AND INVESTMENT ADVISER."
This analysis is intended solely for informational and educational purposes and should not be interpreted as financial advice. It is advisable to consult a qualified financial advisor or conduct thorough research before making investment decisions.
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