Affle 3i Limited
Pembelian

AFFLE

201
1️⃣ Multi-Timeframe (MTF) View
Timeframe Trend Demand Zone (Proximal–Distal) Avg Zone
Yearly / 6-Month UP 1511–871 1191
Quarterly UP 1394–1312 1353
Monthly UP 1800–1730 1765
Weekly UP 1959–1872 1916
Daily UP 1954–1872 1913

Takeaway: Clear UP trend on all higher timeframes; current daily/weekly demand sits around 1870–1959.

2️⃣ Intraday / ITF Zones
Interval Zone Avg
240m 1908–1805 1857
180m 1908–1805 1857
60m 1894–2034 1964

Takeaway: Strong confluence of support in the 1800–1900 area; upside levels extend beyond 2000.

3️⃣ Trade Setup

Entry: 1954

Stop-loss (SL): 1870

Target: 2593

Risk per share: 84

Reward per share: 639

Risk/Reward ratio: ~7.6

Capital Required (65% MTF): ₹2.93M

Qty: 1500 shares

Takeaway: Excellent RR (≥7) with SL below demand zone.

4️⃣ Financials

Profit if target hit: ~₹9.58 lakh gross / ~₹9.36 lakh net

Loss if SL hit: ~₹1.26 lakh gross / ~₹1.48 lakh net

ROI over 4 months: ~54% (annualised much higher)

5️⃣ Key Levels

Immediate Support: 1870–1910 (Gann low & SL area)

Immediate Resistance / Target Zone: 2593 (with upside potential if momentum continues)

Gann Point High: 1967 confirms uptrend

6️⃣ Risk Management Pointers

You’re allocating ~65% capital — strong conviction but ensure you’re comfortable with exposure.

Given RR>6, you could also scale in: e.g., 50% at 1954, 50% on breakout above 1967.

Keep reviewing fundamental catalysts or volume patterns to validate price action.

Monitor trailing stops once price crosses 2100+ to lock in gains.

Pernyataan Penyangkalan

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