Price Action Analysis:
- Current Price: ₹526.40 (as of June 26, 2025)
- Daily Gain: +29.05 (+5.84%)
- 52-Week High: ₹639.75
- 52-Week Low: ₹342.00
- Trading Volume: 306.84K (compared to 20-day average of 81.39K)
Volume Spread Analysis:
- Breakout Volume: 306.84K (nearly 4x the 20-day average)
- Volume Confirmation: Strong volume surge supports genuine breakout
- Volume Pattern: Declining volume during flag formation, followed by expansion on breakout
Base Formation:
- Consolidation Base: Formed between April-May 2025 around ₹400-450 levels
- Duration: Approximately 6-8 weeks of sideways movement
- Characteristics: Healthy consolidation after initial rally from ₹375 lows
Chart Pattern Analysis:
- Primary Pattern: Bull Flag & Pole Breakout
- Flag Formation: Formed between May and June 2025 in the ₹475-500 range
- Pole Height: Approximately ₹125 (from ₹375 to ₹500)
- Breakout Confirmation: Stock broke above ₹500 resistance with strong volume
- Target Projection: ₹625-650 based on flag pole measurement
Key Technical Levels:
Support Levels:
- Immediate Support: ₹500 (previous resistance turned support)
- Secondary Support: ₹475 (flag pattern lower boundary)
- Major Support: ₹400 (psychological level and previous consolidation zone)
Resistance Levels:
- Immediate Resistance: ₹550-560 (short-term target)
- Major Resistance: ₹625-650 (flag pattern target)
- All-Time High: ₹639.75 (to be watched closely)
Trade Setup Analysis:
Long Position Setup:
- Entry Strategy: Breakout above ₹500 with volume confirmation
- Risk-Reward Ratio: 1:3 (favourable setup)
- Time Horizon: 3-6 months for target achievement
- Pattern Reliability: High (bull flag patterns have 70%+ success rate)
Entry Levels:
- Aggressive Entry: ₹526-530 (current market price)
- Conservative Entry: ₹510-515 (on pullback to breakout level)
- Accumulation Zone: ₹500-520 (for larger positions)
Exit Levels:
- Target 1: ₹580-590 (intermediate target - 15% upside)
- Target 2: ₹625-640 (pattern target - 22-25% upside)
- Final Target: ₹650-670 (extended target based on momentum)
Stop-Loss Strategy:
- Initial Stop-Loss: ₹475 (below flag pattern support)
- Trailing Stop: Implement an 8-10% trailing stop after 15% gains
- Conservative Stop: ₹490 (closer stop for risk-averse traders)
Position Sizing Recommendations:
- Conservative Allocation: 2-3% of portfolio
- Moderate Allocation: 4-5% of portfolio
- Aggressive Allocation: 6-8% of portfolio (for high-risk tolerance)
Risk Management Framework:
Risk Assessment:
- Pattern Risk: 25-30% (typical bull flag failure rate)
- Market Risk: Consider broader market conditions
- Sector Risk: Speciality metals and electronics component sector exposure
- Liquidity Risk: Moderate (average daily volume of 81.39K)
Risk Mitigation Strategies:
- Diversification across multiple positions
- Gradual position building rather than lump sum entry
- Regular monitoring of volume and price action
- Adherence to predetermined stop-loss levels
- Profit booking at intermediate targets
Money Management Rules:
- Maximum loss per trade: 2-3% of portfolio
- Position sizing based on stop-loss distance
- Avoid averaging down on losing positions
- Scale out profits at predetermined levels
Fundamental Backdrop:
Company Overview:
- Business Focus: Manufacturing and sales of Thermostatic Bimetal/Trimetal strips, Current Sense Metal Strip Shunts/Resistors, and electron beam welded products
- Operating Since: Commercial production since October 1986
- Headquarters: New Delhi, India
Financial Performance:
- Market Capitalization: ₹3,027 crores
- Annual Revenue: ₹508.35 crores (TTM)
- Pre-tax Margin: 20% (considered great)
- Return on Equity: 20.6% (exceptional performance)
- Debt-to-Equity: 0.08 (healthy balance sheet)
Recent Quarterly Results:
- Q4 FY2025 Revenue: ₹132 crores
- Q4 FY2025 Net Profit: ₹21 crores
- Q3 FY2025 Net Profit Growth: 7.55% YoY to ₹18 crores
Promoter Holding Concerns:
- Current Promoter Holding: 33.18% (considered low)
- 3-Year Trend: Decreased by 27.4% over the last 3 years
Sectoral Analysis:
Industry Positioning:
- Sector: Speciality Metals and Electronic Components
- Niche Market: Thermostatic bimetal strips for temperature control applications
- End Markets: Electronics, automotive, appliances, and industrial equipment
- Market Position: Established player with specialized manufacturing capabilities
Sector Outlook:
- Growing demand for temperature control solutions in electronics
- Increasing automation in the automotive and industrial sectors
- Focus on energy efficiency, driving demand for precision components
- Import substitution opportunities in specialised metal products
Competitive Advantages:
- Financial Stability: Appears financially stable compared to competitors
- Specialized manufacturing expertise in electron beam welding
- Established customer relationships since 1986
- Low debt levels provide financial flexibility
Technical Indicators Summary:
Momentum Indicators:
- RSI: In overbought territory post-breakout (monitor for divergence)
- MACD: Bullish crossover expected on breakout
- Volume: Strong confirmation of breakout validity
Trend Indicators:
- Moving Averages: Stock trading above key moving averages
- Trend Direction: Bullish short to medium term
- Support Levels: Well-defined support structure
Risk Indicators:
- Volatility: Moderate to high given recent breakout
- Liquidity: Adequate for position sizes recommended
- Market Correlation: Monitor broader market trends
My Take:
The technical setup for
Recommended approach is to enter on any pullback to ₹510-515 levels with a stop-loss at ₹475, targeting ₹580-590 for the first leg of the move. The company's strong financial metrics and niche market positioning support the technical breakout, making this an attractive medium-term opportunity for technically oriented investors.
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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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Aggressive Entry: ₹526-530 (current market price) ActiveNot
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