๐ SJS Trade Plan Summary
๐น Multi-Timeframe Analysis
Yearly Demand: 742 โ 376 (Avg 559) โ UP Trend
6 Month Demand: 828 โ 549 (Avg 689) โ UP
Quarterly Demand: 828 โ 760 (Avg 794) โ UP
Monthly Demand: 1061 โ 820 (Avg 941) โ UP
Weekly Demand: 1217 โ 1135 (Avg 1176) โ UP
Daily Demand: 1217 โ 1135 (Avg 1176) โ UP
Intraday TF Demand (60M / 180M / 240M): 1187 โ 1135 โ Strong UP
โ Overall Bias: Consistent bullish alignment across all MTF & ITF โ Strong Buy Setup.
๐น Trade Plan
Entry: 1217
Stop Loss (SL): 1135
Risk per Share: 82
Target: 1742
Reward per Share: 525
RR: 6.40
๐น Position Sizing & Capital
Qty: 1000 shares
Total Buy Value: โน12,17,000
Capital Required (40% Margin): โน4,86,800
Brokerage & Charges (~0.49%): โน5,966
๐น P&L Outcome
If Target Hit:
Gross Profit = โน5,25,000
Net Profit after costs = โน5,19,034
ROI (on margin capital, pre-interest) = 106%
If SL Hit:
Gross Loss = โน82,000
Net Loss after costs = โน87,966
โก๏ธ Net RR: ~5.9 : 1 (Excellent).
๐น MTF Interest Impact (4 months @ 9.69% p.a.)
Capital Funded (MTF 60%): โน7,30,200
Total Interest (4 months): โน23,262
Adjusted Net Profit After Interest: โน4,95,772
Real ROI (on 4.86L margin in 4 months): ~102%
โ SJS Final Takeaway
Strongest bullish alignment across all TFs (Yearly โ Daily โ Intraday).
Attractive RR ~6 with potential 100% ROI in 4 months (leveraged MTF).
Risk very well defined (โน88K vs โน5.2L reward).
Works beautifully as a high conviction trade in your portfolio, similar to Bajaj Finance plan.
๐น Multi-Timeframe Analysis
Yearly Demand: 742 โ 376 (Avg 559) โ UP Trend
6 Month Demand: 828 โ 549 (Avg 689) โ UP
Quarterly Demand: 828 โ 760 (Avg 794) โ UP
Monthly Demand: 1061 โ 820 (Avg 941) โ UP
Weekly Demand: 1217 โ 1135 (Avg 1176) โ UP
Daily Demand: 1217 โ 1135 (Avg 1176) โ UP
Intraday TF Demand (60M / 180M / 240M): 1187 โ 1135 โ Strong UP
โ Overall Bias: Consistent bullish alignment across all MTF & ITF โ Strong Buy Setup.
๐น Trade Plan
Entry: 1217
Stop Loss (SL): 1135
Risk per Share: 82
Target: 1742
Reward per Share: 525
RR: 6.40
๐น Position Sizing & Capital
Qty: 1000 shares
Total Buy Value: โน12,17,000
Capital Required (40% Margin): โน4,86,800
Brokerage & Charges (~0.49%): โน5,966
๐น P&L Outcome
If Target Hit:
Gross Profit = โน5,25,000
Net Profit after costs = โน5,19,034
ROI (on margin capital, pre-interest) = 106%
If SL Hit:
Gross Loss = โน82,000
Net Loss after costs = โน87,966
โก๏ธ Net RR: ~5.9 : 1 (Excellent).
๐น MTF Interest Impact (4 months @ 9.69% p.a.)
Capital Funded (MTF 60%): โน7,30,200
Total Interest (4 months): โน23,262
Adjusted Net Profit After Interest: โน4,95,772
Real ROI (on 4.86L margin in 4 months): ~102%
โ SJS Final Takeaway
Strongest bullish alignment across all TFs (Yearly โ Daily โ Intraday).
Attractive RR ~6 with potential 100% ROI in 4 months (leveraged MTF).
Risk very well defined (โน88K vs โน5.2L reward).
Works beautifully as a high conviction trade in your portfolio, similar to Bajaj Finance plan.
Pernyataan Penyangkalan
Informasi dan publikasi tidak dimaksudkan untuk menjadi, dan bukan merupakan saran keuangan, investasi, perdagangan, atau rekomendasi lainnya yang diberikan atau didukung oleh TradingView. Baca selengkapnya di Persyaratan Penggunaan.
Pernyataan Penyangkalan
Informasi dan publikasi tidak dimaksudkan untuk menjadi, dan bukan merupakan saran keuangan, investasi, perdagangan, atau rekomendasi lainnya yang diberikan atau didukung oleh TradingView. Baca selengkapnya di Persyaratan Penggunaan.