Breakout of multiyear resistance Qty 111 @ 43.60 Bought yesterday Target & Stoploss not defined Expecting very big move
Anticipating Breakout of resistance Very big clean range on Left Qty 222 @ 23.50 Bought yesterday Target & Stoploss not defined Expecting very big move
Breakout of multiyear resistance Very big clean range on Left Qty 55 @ 92.50 Bought yesterday Target & Stoploss not defined Expecting very big move
mcap 133cr cmp 10.45 vs book value 4.15 stock pe NA vs industry pe 31.7 dividend 0 debt to eq 0 promoter holding 64.87% vs 64.62% in MARCH 2017 Small position bought yesterday
strong break and retrace mcap 1234cr cmp 84 vs book value 14.4 dividend 0 debt to eq 0.63 stock pe 58.2 vs industry pe 36.2 pledge 14.7% promoter holding 74.99% vs 73.18% in MARCH 2017 small position bought yesterday
mcap 79.4 cmp 48.6 vs book value 56.5 dividend 0 debt to eq 0.71 stock pe 22.2 vs industry pe 24.2 promoter holding 64.01% vs 59.68% in MARCH 2017 small position
mcap 8571cr cmp 562 vs book value 67.7 dividend 0 debt to eq 1.39 stock pe 16.4 vs industry pe 32.9 promoter holding 75% vs 85% in MARCH 2019 small position
mcap 3151cr cmp 801 vs book value 110 stock pe 88.3 vs industry pe 69.1 debt to eq 0.06 dividend 0 promoter holding 58.94% constant from MARCH 2022 small position
mcap 4436cr cmp 66.15 vs book value 80.7 stock pe NA vs industry pe 34 dividend 0 debt to eq 0.73 promoter holding 26.12% vs 30.75% in MARCH 2017 Small position
mcap 13.8cr cmp 36.18 vs book value 26.6 dividend 0 debt to eq 0 stock pe 19.4 vs industry pe 36.3 promoter holding 73.2% vs 63.14% in MARCH 2017 Small position
mcap 33.5cr cmp 4849 vs book value -462 stock pe NA vs industry pe 36.3 dividend 0 debt to eq NA promoter holding 73.56% vs 74.89 in MARCH 2017 Small position bought yesterday
cmp 88.5 vs book value 211 stock pe 11.7 vs industry pe 36.3 debt to eq 0.67 dividend 0 promoter holding 42.87 constant from MARCH 2017 bought yesterday
Good break of weekly level now price looks like retesting broken resistance level mcap 29.2cr cmp 42.95 vs book value 130 dividend 0 stock pe 17.2 vs industry pe 22.7 debt to eq 0.04 promoter holding 70.68 CONSTANT from MARCH 2017 took medium sized position very risky microcap Finance sector other stocks too performing well and in long term uptrend
Long term trendline breakout Took small position mcap 496cr cmp 125.5 vs book value 20.6 stock pe 59.3 vs industry pe 33.1 Debt to eq 2.52 Dividend 0 Promoter holding 33.4% vs 32.38% in MARCH 2017
Big breakout of strong level Break of single candle consolidation near resistance level mcap 29.6cr cmp 72.5 vs book value 38.5 stock pe NA vs industry pe NA Debt to eq 0 Dividend 0 Promoter holding 63.4% vs 42.11% in MARCH 2017 Small position
Big breakout on all timeframes took very small position mcap 28.4cr stock pe 4.1 vs industry pe 38.6 cmp 112 vs book value 77.5 dividend 0 debt to eq 0 promoter holding 66% vs 48.97% in MARCH 2017 bought yesterday
took very small position Breakout of strong resistance area on all timeframes mcap 22.2cr stock pe 3.48 vs industry pe 23.3 cmp 30.5 vs book value 51.5 debt to eq 0 dividend 0 promoter holding 66.57% vs 67.2% in MARCH 2017 bought yesterday
Big breakout of very longterm resistance took medium sized position mcap 315cr cmp 420 vs book value 130 stock pe NA vs industry pe 60.4 dividend 0 debt to eq 0.01 promoter holding 58.06% CONSTANT from MARCH 2017