This stock is consolidation area. Very bullish but retracement possibility. Buy to price range breakout. Sell to price range breakdown.
Long for 15 to 30 days for tp3 Tp1 - 1 week Tp2 - aprox. 2 week Tp3 - abow aprox. 2 week to 4 week
Long this stok for 15 to 20 days 1:5.30 this risk reward ratio Very good. Long after retracement.
This stok entering 52 week high zone and shortly break out this range. This stok outperform last 3 month sectorial index and strongly outperform benchmark index. 5 EMA 20 EMA from below in 2 hourly chart. Williams R bullish. ATR increasing from 3 days. Stoch K crossing D from below. Positive DI crossing negative DI from below Buy this stok for 5 to 15 days.