You are on page 1of 66

entry exit p/l order

17182.55 16730 452 sell

16315 15910 405 sell

15796 15640 156 sell


15914 15552 362 sell
15190 14843 347 sell
1722 profit

1755 1750 -5 buy

1749 1738 -11 buy range shift


1744 1770 26 buy

1773 1849 76 buy


1825 1851 26 sell range shift
1756 1732 24 buy
1732 1753 21 buy
1740 1700 40 sell
1681 1726 55 buy
252 profit

entry exit P/L order


1695 1666 29 sell

1630 1609 -21 buy


1565 1582 -17 sell
1596 1734 138 buy
1781 1808 27 buy
1808 1823 -15 sell
1821 2129 308 buy

2191 2205 -28 sell

2231 2286 55 buy


2310 2381 71 buy
547 profit

enter exit P/L order

1120 1164 44 buy


1187 1196 9 buy support on 60
1180 1243 63 buy

1216 1167 49 sell same open and low+gap down


1167 1192 25 buy
1148 1280 132 buy
1261 1249 -24 buy -24
1278 1323 -45 buy sell at resistence
1282 1253 29 sell same open and low+ga fast decision
1283 1323 40 buy sell at resistence
1380 1373 -7 buy
1370 1309 61 sell
1309 1320 11 buy
1352 1329 32 buy
419 profit

IN ALL THE ABOVE BACKTESTING I HAVE CHOSEN THE NORMAL RANGE RANDOMLY BUY NOW IN TATAPOWER I HAVE CHOSEN

entry exit P/L order


221 220 -1 buy
220 221 -1 sell
223 226 3 buy
226 230 4 buy
234 220 14 sell
223 222 -1 buy
220 218 -2 buy
221 225 4 buy
230 240 10 buy
30 profit even in choppy market
entry exit P/l order
3705 3513 192 buy

7552 7072 480 sell


7105 7334 229 buy range shift
7373 6725 648 sell resistence trendline
6916 7671 755 buy
7701 6980 721 sell
6694 7334 640 buy all trades profit
3665 profit

entry exit P/L ORDER

223 220 -3 buy


221 211 10 sell
209 211 2 buy
262 258 -4 buy
252 265 13 buy
266 252 14 sell
252 283 31 buy
280 285 5 buy
301 308 7 buy
347 418 71 buy
418 402 16 sell
433 400 33 sell
390 380 10 sell
411 427 16 buy
421 375 46 sell
374 357 17 sell
374 397 23 buy
402 360 42 sell
360 377 17 buy
382 377 -5 buy
377 283 94 sell
288 304 16 buy
303 361 58 buy
363 388 25 buy
554 profit

entry exit P/L ORDER


721 789 68 buy
791 776 15 sell
781 789 8 buy

769 782 13 buy

782 778 4 sell


778 828 50 buy
815 799 16 sell
783 803 20 buy
803 739 64 sell
719 701 18 sell
728 667 61 sell
712 747 25 buy
771 719 51 sell
758 720 38 sell
721 785 64 buy
720 748 28 buy
721 781 60 sell
738 622 18 sell
621 profit

enter exit P/L order Exit reason


409 419 10 buy range shift+confirm
425 437 12 buy
429 433 -6 sell
442 457 15 buy
461 459 -4 buy
446 430 16 sell
444 430 14 sell

entry exit P/L order exit reason entry reason


336 345 9 buy
344 341 3 sell
345 357 12 buy
355 346 9 sell
346 350 4 buy
342 379 37 buy gapup
377 372 5 sell
373 375 -2 sell
373 332 41 sell
321 341 20 buy
337 327 10 sell
327 339 12 buy
339 325 14 sell
325 328 3 buy
177 Profit

entry Exit P/L order exit reason entry reason


1023 1017 6 sell
1011 1029 18 buy
1030 970 60 sell
976 968 8 sell
973 1002 29 buy
996 952 44 sell
943 970 27 buy
977 970 -21 buy choppy market 3 stoploss triggered=-7*3=-21
985 1005 20 buy rsi above 60+ break resisitence
1000 955 45 sell
955 964 9 buy
966 889 77 sell pro gap+ spinning top
890 915 25 buy pro gap+ spinning top confirm
919 911 8 sell
911 929 18 buy
906 676 230 sell
603 profit

Entry exit P/L order exit reason exit reason


7144 7415 271 buy
7457 7413 -88 buy very small stoploss=44*2=-88
7550 7445 -55 buy
7540 7146 394 sell
7146 7372 226 buy
7289 8105 816 buy
8156 8131 -75 buy very small stoploss=25*3=-75
8105 8291 186 buy
8291 8030 261 sell
8077 8562 485 buy
8609 8485 124 sell
8686 8495 191 sell
8849 8439 410 buy
8536 8593 -57 buy
8581 8680 99 buy resistence
8610 8506 104 sell
8470 8703 233 buy
3525 Profit 3.52 lacs profit

entry exit P/L order entry reason exit reason


324 321 -3 buy
293 302 -9 sell
303 312 9 buy
320 344 24 buy
340 304 36 buy
300 294 -6 sell
296 292 4 buy
311 497 186 buy
489 512 13 buy
480 490 10 buy
490 473 17 sell
468 510 42 buy
510 490 30 sell
419 452 33 buy
431 396 37 sell
423 profit

entry exit P/L order with replay

2122 2135 -13 sell


2193 2157 36 buy
2322 2612 290 buy

2566 2384 186 sell


2453 2527 74 buy
2290 2641 351 buy

2619 2513 106 sell


2513 2482 -31 buy
2482 2193 289 sell exit because pro gap
2244 2329 85 buy
1373 Profit
bajaj finserv

Larsen&Tourbo 25 march to 29 april

from 25 march -29 april it is just random period and


not so much volatile just normal days

Adanient 18 feb-29april
1 Feb 29 april TATASTEEL

DOMLY BUY NOW IN TATAPOWER I HAVE CHOSEN CHOPPY RANGE SHPECIALLY

CHOPPY RANGE SPECIALLY FROM 22 dec-11 jan && from 16FEB-1APRIL


TOP BOTTOM ON DAILY CHART entry exit
1316 1121
3 NOVEMBER-4May on bajfinance 1127 1216
1195 1108
1108 1229
1324 1369
1354 1289

TOP Bottom on daily chart AMBUJACEMT FROM


FROM 7 August 2021 -4 MAY 2022

Top Bottom on Bharatforg h chart Complete analysis


20 October 2021-14 may 20222

Gap up or gap down in favour (profit) 1


Opposite gap up or down then expected(Loss) 2

Choppy time period from 10 March - 4May on h chart

7 March2022 -27 may 2022


14 MAY 2021-25August2021

market 3 stoploss triggered=-7*3=-21 loss


60+ break resisitence

MARUTI from 9Dec-23Feb on HOURLY Chart


Tata Motors from 26Feb-31May on Daily Chart

Comparison with top bottom replay mode and without without replay
REPLAY mode on daily chart of srf chart entry exit
2122 2135
2121 2157

1Nov 2021-31may 2022 SRF chart 2140 2093


2093 2115
2322 2612
2566 2380
2290 2641
2619 2513
2513 2482
2482 2193
2244 2329
entry exit P/L order

690 717 27 buy


704
726 22 buy

738 748 10 buy Bharatforg 25 march-29april


748 730 18 sell
732 720 12 sell
716 724 12 buy
721 713 8 sell
109

1557 1538 19 sell TECH MAHINDRA 25 MARCH - 29 April


1538 1528 -20 sell
1525 1504 21 buy

1469 1462 -30 sell range shift failed 10*3 times failed small loss
1462 1265 197 sell
187 profit

entry exit P/L order

873 868 -5 buy M&M from 16feb-29april


861 837 24 sell
838 853 15 buy

792 801 -9 sell


799 698 101 sell
711 733 22 buy
745 780 35 buy
780 774 -6 sbuy
768 761 -7 buy

761 767 -6 sell

775 817 42 buy


838 854 16 buy
860 880 20 buy
919 905 14 sell
905 932 27 buy
927 932 -5 sell

924 930 -6 sell


272 profit
P/L order tatasteel chart 3nov-4may
195 sell

89 buy
97 sell
121 buy
-45 sell
65 sell
522 profit
1big profit

1 big loss
without replay

P/L ORDER
-13 sell
36 buy

47 sell
22 buy
290 buy
186 sell
351 buy
106 sell
-31 buy
289 sell
85 buy
1368
entry exit P/L order

3980 4007 -27 sell

3922 3841 81 sell


3850 4120 270 buy
4041 4210 169 buy
4351 4000 351 sell
3770 3600 770 sell
1614 profit

entry exit P/L Order

- 29 April 361 367 6 Buy

360 368 8 Buy


363 371 8 Buy

364 382 18 Buy


380 377 3 sell
380 378 -2 Buy
378 349 29 sell
355 360 5 Buy
354 361 7 Buy
364 372 8 Buy

369 357 12 sell


365 375 10 Buy

375 364 11 sell


378 404 26 Buy
396 402 6 Buy

402 405 -3 Buy


402 383 19 sell
384 392 8 Buy
392 327 66 sell
330 334 4 Buy
334 347 13 Buy

349 355 6 Buy

354 377 23 Buy


291 Profit

entry exit p/l order

706 749 43 Buy

742 756 14 Buy


754 728 26 sell
721 750 29 Buy

729 726 -3 Buy


731 703 28 sell
701 689 12 Buy
689 708 19 Buy
708 691 17 sell
185 profit
Top bottom on hourly chart of Mindtree
From 1st Feb-4May

Top bottom on hourly chart on Biocon


From 23NOV 2021-4MAY2022
exit reason entry reason Extreme choppy market

25August-7november
STOCKS(From 1Jan 2021-5th May 2022
note that all gap up and down are normal or large

Gap Up and Gap down in same direction in same direction (safe and profit)

Gap Up and Gap down in same direction in opposite direction ( loose moey)
M&M AUROPHARMA ADANIENT BIOCON Bajaj finance Tatasteel

nd profit) 3 1 4 3 6 13

ose moey) 2 1 0 2 4 3

1 big profit 3 Big profit 3 big profit

1 Big loss
HDFC Ambujacement Mindtree tatamotors adaniports Tatapower

10 2 5 5 4 5

4 0 2 3 2 1

1 super big profit super profit 2 super profit 1 super profit 1 super profit

2 big profit

1 Big loss 1 big loss

even rsi above 60


from 2nd MAY-10MAY
Top bottom on Last 1 week P/l

auropharma 24

indiacem 5
larsen 1
M&M 17
hcltech 16
hdfc 52
bharatforg 20
techmahindra 70

adanient 139

bajajfinance 585

tatamotors 15
tatasteel 52

mindtree 162
ambujacem 31
biocon 39 huge profit
ongc 8
grasim 117
maruti 434 huge profit
Top bottom on DAILY Chart Adanient entry

28May 2021-28may 2022 1235

1624
1594
1508
1460
1565
1527
1569

1747

1715

1631
2334

Top bottom on DAILY Chart Tatasteel entry


28May 2021-28may 2022 1125
1106
1429

1324
1396

1343
1313
1127

1213
1109
1186
1130
1291
1349

1261

1122
SBIN 1 and half year entry
409

397

369
418
450

526
477
461
456
462
514
450
497
471
450
522

profit
losses

m&m 3 years backtesting top bottom entry


527
521
543
527
567
574
518
528
615
637
597
602
749
711

911
840

812
914
884
920
833
841
842
713
800
945
1033

1000
1082
1111
1273

winning
loosing
Reason for Buy Reason for Sell

exit P/L Order

1624 389 buy

1291 333 sell huge gap down in favour


1364 230 sell
1416 178 sell
1565 105 buy
1474 91 sell
1574 47 buy
1465 104 sell

1650 -37 buy

1840 125 buy

2334 703 buy


2119 215 sell

2483 Profit 13.5 lacs profit in 1 year

exit P/L order Reason for Buy Reason for Sell


1100 -25 buy
1407 301 buy
1305 124 sell

1356 31 buy
1343 -47 sell

1300 -20 buy


1114 199 sell
1213 86 buy

1109 104 sell


1207 98 buy
1128 60 sell
1277 147 buy
1255 -36 buy
1309 30 sell

1160 101 sell

1052 70 sell
1223 Profit 5.19 LAKHS Profit because very small lot
size

exit P/L order


392 -17 buy

368 29 sell

423 54 buy
449 31 buy
508 58 buy

495 31 sell
489 12 buy
456 -5 buy
454 -2 sell
510 42 buy
507 -7 buy
510 60 buy
458 39 sell
464 -7 buy
485 35 buy
529 7 buy
360 points

11
5

exit P/L order


521 -6 buy
528 -7 sell
527 16 sell
550 22 buy
579 12 buy
514 60 sell
535 27 buy
568 40 buy
626 -11 sell
601 -36 sell
602 -5 sell
727 125 buy
714 35 sell
811 100 buy

864 16 sell
813 27 sell

929 117 buy


874 40 sell
946 62 buy
852 68 sell
840 -21 buy/sell both -7*3 loss
884 33 buy
710 132 sell
784 71 buy
922 122 buy
1033 88 buy
1000 33 sell

1082 82 buy
1111 -29 sell
1165 54 buy
1305 32 buy
1299 Profit

25
7 loss -79 points
Gap down in favour Profit 2

gap down in opposite direction loss


only huge or middle gap has taken
BIGGEST TOP BOTTOM ON H CHART IBULHSGFIN ENTRY EXIT P/L

LAST 20 DAYS ON ALL STOCKS FROM 1 - 18 JUNE 116 115 -1

116 126 10

126 115 11
118 105 13
102 94 8
101 104 3
101 96 5
49

hdfclife entry exit P/L

606 603 -3
607 602 -5

603 610 7
608 600 8
603 598 5
580 551 29
41

Larsen entry exit P/L


1646 1664 18

1664 1593 71
1522 1492 30
119

Bajfinance entry exit P/L


6054 6019 35
6022 6090 68
5857 5838 -57

5877 5932 55

5905 5335 570


5439 5563 124
795

Bhartiartl entryt exit P/L


681 680 -2

680 658 22

20

dlf entry exit P/L


340 326 14
327 319 8
325 327 -2
307 308 -1
309 318 9
316 319 3
316 303 13
44
ORDER entry reason exit reason
buy range shift

buy range shift

sell
sell
sell
buy
sell
profit

order entry reason exit reason


buy
buy

buy
sell
sell
sell
profit

order entry reason exit reason


buy

sell
sell
profit

order entry reason exit reason


sell
buy
buy small loss-19 *3 -57loss

buy

sell
buy
profit

Order entry reason exit reason


buy small loss-1*2

sell

profit

Order entry reason exit reason


sell gap
sell resistence on 40rsi
sell
sell
buy gap
buy
sell
profit

264 274 10 buy


261 264 -6 buy&sell here-3*2 -6 was loss
263 275 12 buy
280 293 13 buy
282 264 18 sell range shift
263 242 21 sell

271 PROFI2 years profit


Top bottom on DAILY Chart ENTRY

bhartiartl
FROM 6OCTOBER TO 30 JUNE on all charts 700

693
ALL BELOW ARE CHARTS OF ABOVE TIME DURATION 721
756
680
711
720
768

741

687
692

679
671
654

entry

HINDALCO 479
473
457

548
620
408

COAL INDIA entry


FROM 19 October2016 to 19 oct 2018 300
304
287
318
320

294
292

274

262
252
258

241
272
286
266
294
309
270
290
267
271
288
EXIT P/L ORDER entry reason exit reason

693 -7 buy

631 62 sell
729 8 buy rsi above 60
666 90 sell hammer
723 43 buy top bottom and range
720 -9 sell
768 48 buy
739 29 sell

749 734 -15 buy

700 41 sell

678 -9 buy
681 -11 sell

671 -8 buy
654 18 sell
681 27 buy
1071 profit 2,97,000 profit

exit P/L order entry reason exit reason

514 35 buy
421 52 sell
486 29 buy

585 37 buy
413 207 sell
339 69 sell
429 Profit 4,61,000 profit in 9 months

exit p/l order reason for entry reason for exit


304 -4 sell
294 -10 buy
303 16 buy range shift and hammer
308 10 sell
294 26 sell

289 -5 buy
276 sell

267 7 sell

245 17 sell
258 6 buy range shift
251 7 sell range shift

255 14 buy
289 15 buy
275 11 sell
302 38 buy range shift
310 16 buy
270 39 sell
277 7 buy
267 23 sell
271 -5 sell
290 19 buy range shift
264 24 sell range shift
have taken only big gaps
Gap Up and Gap down in same direction (safe and profit)
gap down in opposite direction loss
nd hammer
1
1
1 year top bottom on mindtree entry exit P/L order

2964 3417 453 buy

3662 4544 882 buy

4558 4181 377 sell


4232 4184 -58 sell
4285 4722 437 buy
4900 4581 319 buy
4754 4503 250 sell
4467 4576 109 buy
4576 4625 -98

4531 4326 205 sell

3955 4088 133 buy

4088 3986 102 sell


3987 4232 245 buy

4271 3626 645 sell


3538 3072 466 sell
3033 2882 151 sell
3231 3384 153 buy
4771 profit

M&M entry exit P/L order


782 776 -12 buy

755 747 -9 sell


770 911 141 buy
914 874 40 sell

874 928 54 buy


944 840 104 sell
873 844 29 sell
842 820 12 buy
842 712 130 sell
709 784 75 buy

783 917 134 buy

944 1033 99 buy


1033 999 34 sell
999 1082 83 buy
1158 1265 107 buy
1021 Profit
714,000

Coal India entry exit P/L Trade

148 146 -4 buy


144 142 -2 sell
144 142 -2 buy

142 135 7 sell


140 190 50 buy
174 169 5 sell
167 153 15 sell
157 150 -7 buy
147 145 -2 buy
149 162 13 buy
156 192 34 buy
193 199 -6 sell
186 171 15 sell
170 180 10 buy
183 194 11 buy
195 181 14 sell
181 177 -4 sell
182 207 25 buy
172 Profit

Banknifty entry exit P/L Trade


34584 35834 1250 buy
35915 36481 566 buy
37741 40056 2314 buy
39402 36481 2921 sell
36678 35693 -985 buy
35191 37929 2738 buy
38573 37441 1132 sell
37531 33528 4003 sell
35953 37833 1880 buy
37557 34387 3170 sell
35487 33339 2148 sell
33191 34553 362 buy
35580 37755 2175 buy
5,91,000 p 23674 Profit

TECH Mahindra entry exit P/L Trade


1461 1438 -23 buy
1417 1387 -30 buy
1516 1600 84 buy
1562 1643 81 buy
1706 1778 62 buy
1789 1438 351 sell
1409 1487 68 buy
1134 997 137 sell
1028 1089 48 buy
778 Profit
super profit

super profit

super profit

range shift
49*2 loss

very big candle near bollinger so exit

9,54,000 profit

loss -6*2
two loss -2*2

gap down

722,400
466,000
jan to august all stocks LT entry

daily top bottom 6 months 2025

2025

6 months winning percentage 63 1925


on 13 stocks 1877
1859
1775
1832
1661
1641

1502

winning

loosing
exit P/L order entry exit P/L order Canera bank

1882 143 buy 198 229 31 buy

1925 100 sell 223 217 6 sell

1951 26 buy 241 263 12 buy


1859 -18 buy 258 219 39 sell
1673 186 sell 218 247 29 buy
1832 57 buy 230 201 29 sell
1698 134 sell 203 182 21 sell
1641 -20 buy 188 223 35 buy
1502 139 sell

1850 348 buy

1095 profit 3,28,000 P 202 Profit 5,54,000 profit

8 winning 8

2 loosing 0
entry exit P/L order ICICI BANK entry exit P/L order

733 821 88 buy 642 673 31 buy

821 802 19 sell 672 630 42 sell

748 714 34 sell 630 621 -9 buy


720 712 -8 buy 621 538 83 sell
721 761 40 buy 538 524 -14 buy
738 712 26 sell 532 523 -9 buy
712 745 33 buy 527 562 35 buy
747 688 99 sell 562 549 13 sell
688 871 183 buy 549 571 22 buy

607 599 -7 sell

514 profit 706,000 600 564 30

564 552 -19 sell


winning 8 540 581 41 buy

loosing 1 239 profit

winning 8
loosing 5
hdfclife entry exit P/L order DLF entry

385 412 27 Buy 4764

412 390 12 Sell 4708

401 343 58 Sell 3971


360 347 -13 Buy 3797
360 391 31 Buy 3966
398 326 72 Sell 4099
326 318 -8 Buy 4000
320 333 -13 Sell 4287
338 310 28 Sell 3494

312 371 59 Buy 2885

383 374 -9 Buy 2899

244 Profit 406,000 2908


3247

262,000

winning 7
loosing 3
exit P/L order Mindtree entry exit P/L order

4620 144 sell 473 512 29 buy

3746 962 sell 510 492 18 sell

3900 -140 buy two losses-71*2 501 398 103 sell


3654 143 sell 420 452 32 buy
4099 133 buy 452 434 18 sell
3989 110 sell 431 439 -8 sell
4399 399 buy 431 394 37 sell
3663 624 sell 433 497 65 sell
3141 353 sell 397 450 53 buy

2839 -46 sell 455 477 22 buy

2816 -83 buy 369 Profit

3187 279 buy 525,000


3515 268 buy

3146 Profit here 200*3146


626,000

winning 10 winning 9
loosing 3 loosing 1
Tatamotors entry exit P/L order bajfinance entry

6916 7701 785 buy 35207

7701 6980 721 sell 35221

6980 7116 136 buy 38549


7093 6934 159 sell 37754
7019 7332 313 buy 35514
7302 7163 139 sell 33238
7002 5836 1166 sell
5836 5711 -125 buy
6093 6012 -81 buy

5871 5482 389 buy

5529 7241 1792 buy

5394 profit
674,000

winning
winning 9 loosing
loosing 2
exit P/L order Banknifty srf entry exit P/L

34874 -333 buy 2441 2600 159

37992 2771 buy 2290 2691 401

33539 5010 sell 2696 2244 452


34227 3527 sell 2244 2307 63
33238 2276 sell 2341 2457 116
38647 5409 buy 2457 2505 -49
18660 profit 1142
4,65,000 profit 428,000

winning 5
5 loosing 1
1
order entry exit P/L order Adanient

buy 1725 1836 111 buy

buy 1841 1739 102 sell

sell 1739 1701 -38 buy


buy 1730 1644 86 sell
buy 1627 2332 705 buy
sell 2311 2135 176 sell
Profit 2271 3048 777 buy
1919 Profit
960,000

winning 6
loosing 1
Tata steel entry exit P/L order Adanient Maruti entry

112 116 4 buy 8170

119 110 9 sell 8084

110 121 21 buy 8189


132 126 6 sell 8210
126 114 12 sell 6943
102 88 14 sell 7573
91 104 13 buy 7788
79 profit 7279
335,000 7566

8507

winning 8
loosing 0
exit P/L order 6 months top bottom entry exit P/L order

8077 -93 buy Tatacom 1190 1326 129 buy

8052 -32 sell 1334 994 330 sell

8550 361 buy 902 924 -22 sell


6906 1304 sell 888 977 90 buy
7530 587 buy 1077 1249 172 buy
7788 215 buy 1239 1145 184 sell
7407 381 sell 883 profit
7340 -61 sell
7854 288 buy

8704 197 buy

3147 Profit

3,14,000 profit

winning 7
loosing 3
move % roundoff entry exit P/L

10 556 646 90

25 645 634 -11

538 558 -18


9 519 531 -21
12 525 532 -7
5 535 465 70
441000 466 479 13
482 466 16
466 483 17

149

146000

CANFORGE 685 643 42


651 596 55

565 608 43
600 651 50
650 597 53
243

entry exit P/L

7254 7408 -154


7429 7106 323

7106 7300 194


7596 7374 222
7254 7383 129
order

buy last 5 Years Tatasteel


buy 25.4 -1 sell

sell
sell
sell
sell
buy
sell
buy

profit

buy
sell

buy
buy
sell
profit

order

sell
sell

buy
sell
buy;
Top bottom in choppy only on all stocks from
24.6 25.6 -2 sell

284

25 23 1.5 sell
21 22 -1.5 sell
36.7 38.8 2 buy

27.3 32.5 5 buy


31.75 30.55 -1.25 buy

18.2 Profit
entry exit P/L Tatasteel entry exit P/L

two -1*2 285 281 -4 buy

311 27 buy

297 292 -5 buy


297 330 33 buy
347 378 32 buy
37.8 36.8 -1 buy 370 376 -6
38.1 41.1 3 buy 377 382 5
69.7 70.65 -1 sell 380 366 14
70 69 1 buy 374 368 -6

58.9 60.55 1.5 buy 384 406 22

55.9 56.3 -1 sell 0.5*2 396 380 16

56.3 55.5 -0.8 buy 425 415 -10


55.7 52.15 3.55 sell 422 448 24

52 57 5 buy spinning bottom 411 431 20


57 58 -1.1 sell 171 190 19
61.4 57.6 3.8 sell 173 180 7
57.55 53.6 4 sell 105 108 -12
50 46.45 4 sell 106 147 41
47.8 46.55 -1.25 buy 139 178 39
25.55 27 -1.5 sell 353 350 -3

339 298 41 sell

294 Profit
order Tatamotors Power of stocks Bollinger bands entry

sell
buy
sell
buy

buy

sell

buy
buy

buy
buy
buy
buy/sell loss -3*4
buy
buy
buy
exit P/L order

You might also like