Multi-Timeframe (MTF) Analysis
HTF (Higher Timeframe) → Yearly, Half-Yearly, and Quarterly all show UPTREND with strong support around 1139–1309.
Average = 1321 (long-term base demand).
MTF (Medium Timeframe) → Monthly, Weekly, and Daily also UP, with demand zones tightening at 2037–2725.
Average = 2360 (medium-term strong demand).
ITF (Intraday Timeframe) → 60M–240M also UP, clustered demand around 2872–2907.
Average = 2890 (short-term demand).
👉 Overall alignment: All timeframes are in UPTREND, so the structure is bullish.
📈 Trade Plan
Entry-1: 2725
Stop Loss (SL): 2513 (≈8% risk)
Target: 4534 (≈66% reward)
Risk per share: 212
Reward per share: 1809
Risk-Reward Ratio (RR): 8.53 (very favorable)
💰 Capital & Profitability
Qty: 1000 shares → Total Buy Value = 2,725,000
Brokerage + Taxes: 0.49% → ₹13,357
Profit if target hits: 1,809,000
Net Profit after costs: 1,795,643
Loss if SL hits: 225,357
Net RR: 7.97 (still excellent).
📊 ROI & Leverage
Capital Value considered: 953,750 (MTF 65%)
Leverage effect: Only ~35% of cash deployed, rest financed.
ROI in 4 months (if target hit): 182% after deducting interest.
⚠️ Key Observations
Entry zone (2725) is close to Daily demand (2725–2513). Good location.
SL (2513) sits at lower edge of daily demand → smart protection.
Target (4534) is ~50% higher than Last High (3060) → aggressive but supported by structure.
Risk very low vs reward, but you must watch minor supply at 18,100 (highlighted in sheet).
Leverage used (65%) amplifies returns, but also increases sensitivity to SL hit.
✅ Conclusion:
This is a highly asymmetric bullish trade. With all MTFs aligned UP, entry near demand, and a stellar RR (8.5+), the plan is strong. The only caution is the stretch in target (4534) — it requires sustained trend continuation. Managing partial profits near 3060 (previous high) could derisk while still aiming for extended targets.
HTF (Higher Timeframe) → Yearly, Half-Yearly, and Quarterly all show UPTREND with strong support around 1139–1309.
Average = 1321 (long-term base demand).
MTF (Medium Timeframe) → Monthly, Weekly, and Daily also UP, with demand zones tightening at 2037–2725.
Average = 2360 (medium-term strong demand).
ITF (Intraday Timeframe) → 60M–240M also UP, clustered demand around 2872–2907.
Average = 2890 (short-term demand).
👉 Overall alignment: All timeframes are in UPTREND, so the structure is bullish.
📈 Trade Plan
Entry-1: 2725
Stop Loss (SL): 2513 (≈8% risk)
Target: 4534 (≈66% reward)
Risk per share: 212
Reward per share: 1809
Risk-Reward Ratio (RR): 8.53 (very favorable)
💰 Capital & Profitability
Qty: 1000 shares → Total Buy Value = 2,725,000
Brokerage + Taxes: 0.49% → ₹13,357
Profit if target hits: 1,809,000
Net Profit after costs: 1,795,643
Loss if SL hits: 225,357
Net RR: 7.97 (still excellent).
📊 ROI & Leverage
Capital Value considered: 953,750 (MTF 65%)
Leverage effect: Only ~35% of cash deployed, rest financed.
ROI in 4 months (if target hit): 182% after deducting interest.
⚠️ Key Observations
Entry zone (2725) is close to Daily demand (2725–2513). Good location.
SL (2513) sits at lower edge of daily demand → smart protection.
Target (4534) is ~50% higher than Last High (3060) → aggressive but supported by structure.
Risk very low vs reward, but you must watch minor supply at 18,100 (highlighted in sheet).
Leverage used (65%) amplifies returns, but also increases sensitivity to SL hit.
✅ Conclusion:
This is a highly asymmetric bullish trade. With all MTFs aligned UP, entry near demand, and a stellar RR (8.5+), the plan is strong. The only caution is the stretch in target (4534) — it requires sustained trend continuation. Managing partial profits near 3060 (previous high) could derisk while still aiming for extended targets.
면책사항
이 정보와 게시물은 TradingView에서 제공하거나 보증하는 금융, 투자, 거래 또는 기타 유형의 조언이나 권고 사항을 의미하거나 구성하지 않습니다. 자세한 내용은 이용 약관을 참고하세요.
면책사항
이 정보와 게시물은 TradingView에서 제공하거나 보증하는 금융, 투자, 거래 또는 기타 유형의 조언이나 권고 사항을 의미하거나 구성하지 않습니다. 자세한 내용은 이용 약관을 참고하세요.