Step-by-Step Analysis
1. Monthly Timeframe Analysis
📌 Previous Monthly Swing High: ₹1,650 (Liquidity Taken)
📌 Current Market High: ₹1,802
📌 Key Swing Low: ₹1,060.55
📌 Accumulation Zone: ₹943 – ₹846
✅ The price has now reached this accumulation range, making it a potential long-term buying opportunity.
2. Daily Timeframe Confirmation
✅ The daily chart shows a liquidity sweep and a structure shift, supporting a potential reversal.
✅ While the price is in the monthly buying zone, we still need additional confirmation before committing to a full position.
✅ Key Entry Levels for Investors:
₹960 – ₹915: First zone to accumulate small quantities.
₹889 – ₹865: If the market dips further, this range offers a strong investment opportunity.
3. Profit Targets & Risk Management
📈 Profit Targets:
1️⃣ ₹1,215 – First target (short-term)
2️⃣ ₹1,330 – Second target (mid-term)
3️⃣ ₹1,657 – ₹1,800+ – Major long-term targets
📉 Stop-Loss Strategy:
Set your stop-loss based on risk tolerance.
Conservative traders can place stop-loss near ₹750 – ₹730, ensuring a good risk-reward ratio.
Investment Strategy
🔹 Scenario 1: If price confirms reversal in the daily timeframe, early accumulation between ₹960 – ₹915 can be done.
🔹 Scenario 2: If price drops further below ₹910, investors can accumulate between ₹889 – ₹865.
🔹 Scenario 3: If price fails to hold these levels, wait for confirmation before further investment.
Final Thoughts
📊 This analysis is based on Smart Money Concepts (SMC) and liquidity-based trading strategies. While the accumulation zone is active, additional confirmation is recommended. Always conduct your own research and consult with financial experts before making an investment decision.
💡 Key Takeaway: Birla Corporation is at a potential investment-worthy level, but confirmation is crucial before committing large capital.
👉 Would you like a TradingView chart with this analysis? Let me know! 🚀https://www.tradingview.com/x/QAbmdoep/
1. Monthly Timeframe Analysis
📌 Previous Monthly Swing High: ₹1,650 (Liquidity Taken)
📌 Current Market High: ₹1,802
📌 Key Swing Low: ₹1,060.55
📌 Accumulation Zone: ₹943 – ₹846
✅ The price has now reached this accumulation range, making it a potential long-term buying opportunity.
2. Daily Timeframe Confirmation
✅ The daily chart shows a liquidity sweep and a structure shift, supporting a potential reversal.
✅ While the price is in the monthly buying zone, we still need additional confirmation before committing to a full position.
✅ Key Entry Levels for Investors:
₹960 – ₹915: First zone to accumulate small quantities.
₹889 – ₹865: If the market dips further, this range offers a strong investment opportunity.
3. Profit Targets & Risk Management
📈 Profit Targets:
1️⃣ ₹1,215 – First target (short-term)
2️⃣ ₹1,330 – Second target (mid-term)
3️⃣ ₹1,657 – ₹1,800+ – Major long-term targets
📉 Stop-Loss Strategy:
Set your stop-loss based on risk tolerance.
Conservative traders can place stop-loss near ₹750 – ₹730, ensuring a good risk-reward ratio.
Investment Strategy
🔹 Scenario 1: If price confirms reversal in the daily timeframe, early accumulation between ₹960 – ₹915 can be done.
🔹 Scenario 2: If price drops further below ₹910, investors can accumulate between ₹889 – ₹865.
🔹 Scenario 3: If price fails to hold these levels, wait for confirmation before further investment.
Final Thoughts
📊 This analysis is based on Smart Money Concepts (SMC) and liquidity-based trading strategies. While the accumulation zone is active, additional confirmation is recommended. Always conduct your own research and consult with financial experts before making an investment decision.
💡 Key Takeaway: Birla Corporation is at a potential investment-worthy level, but confirmation is crucial before committing large capital.
👉 Would you like a TradingView chart with this analysis? Let me know! 🚀https://www.tradingview.com/x/QAbmdoep/
交易進行
Birla Corporation – Breakout Awaited for Next Big Move 🚀📊 Recap & Current Market Position
We previously analyzed Birla Corporation on March 17, 2025, highlighting a potential upside move. As expected, after our post, the price surged and made a high of ₹1,114 on March 25, 2025.
Currently, the stock is trading within a range of ₹1,045 – ₹1,114 over the last 5 trading sessions, indicating a consolidation phase.
📌 Key Observations & Market Structure
✅ Price Action: Consolidating between ₹1,045 – ₹1,114
✅ Breakout Potential: If price breaks above ₹1,114, we can expect a strong bullish move
✅ Smart Money Concepts (SMC): Liquidity is being built within this range, making it a crucial zone for the next directional move
📈 Profit Targets & Trading Strategy
📌 If the breakout happens above ₹1,114, we can expect a strong move towards the following levels:
📊 Profit Targets:
1️⃣ ₹1,215 – Short-term target
2️⃣ ₹1,330 – Mid-term target
3️⃣ ₹1,657 – ₹1,800+ – Long-term target
📉 Stop-Loss Strategy:
🔹 For Breakout Traders: Below ₹1,045 (Range Breakdown)
🔹 For Conservative Traders: Below ₹1,000 to minimize risk
🚀 Trading Plan & Final Thoughts
📌 Scenario 1: If the price breaks above ₹1,114, initiate a buy trade for a strong breakout move.
📌 Scenario 2: If price retraces to ₹1,045 without breaking down, this could act as a buying zone for a better entry.
📌 Scenario 3: If price breaks below ₹1,045, wait for a new structure before entering.
📢 Don't Miss Out!
✅ Follow me for more stock market insights!
👍 Drop a like if you found this helpful!
💬 Comment your views – Do you think a breakout is coming? Let’s discuss!
🚀 Stay tuned for the next move! 💹
交易結束:目標達成
🚨 Target Achieved – Birla Corporation Ltd. 🚨✅ Both Swing Targets Hit with Strong Momentum!
📊 Analysis Recap:
🔹 Stock: Birla Corporation Ltd.
🔹 Our Entry Zone: ₹1,008 – ₹1,025
🔹 Stop-Loss: ₹965 (Strict for risk control)
🔹 Target 1: ₹1,215 ✅
🔹 Target 2: ₹1,330 ✅
🔹 High ( May): ₹1,442 🚀
📈 Performance Summary:
🔼 Return from Entry to Target 1: Approx. +20%
🔼 Return from Entry to Target 2: Approx. +30%
🔼 Return till High (₹1,442): +42% 📌
⏳ Time Taken: Approx. 20–25 days holding period
🔥 Breakout Confirmation: Strong upside after 9–10 days of tight consolidation and low-volume pullback. Massive 2-day rally of +20% and +5% respectively sealed our targets.
🧠 Why We Took This Trade:
✅ Price tapped into a weekly Point of Interest (POI)
✅ Confirmed higher-high structure after liquidity grab
✅ Breakout from multi-week consolidation with volume surge
✅ Strong relative strength during market-wide volatility
🏁 What’s Next?
📌 Trail Your Profits if still holding
📉 Fresh positions? Wait for retracement near 1275–1230 for better R:R
📊 We’ll review the stock again around ₹1,475–₹1,500 zone for fresh plans
📢 Don’t Miss Out!
✅ Follow me to stay updated with our next swing & positional setups
👍 Drop a like if this helped you
💬 Comment below your thoughts – Let’s chat!
🚀 See you in the next winning trade!
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免責聲明
這些資訊和出版物並不意味著也不構成TradingView提供或認可的金融、投資、交易或其他類型的意見或建議。請在使用條款閱讀更多資訊。