Selling Call

Diupdate
Sell Nifty with the strict stop loss for a target of 10427,
Post January we are expecting no positive factors for the markets to see any upside, reasons mentioned below:

February:
1) Most companies will finish posting their Q3 numbers (end of earning season)
2) This budget will not be a populas one. Another most threatening factor being tax timeline on LTCG

March:
1) End of the financial year could lead to lesser liquidity in the markets.

Catatan
Revised stop loss 11250
Harmonic PatternsWave Analysis

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