🛒 Trade Plan: BUY
Parameter Value
Entry 4344
Stop Loss (SL) 3596
Risk 748 pts
Reward 4598 pts
Target 8942
Risk-Reward (RR) 6.1
🧠 Market Context
Metric Value
Last High 6269
Last Low 3596
Point Var 2673
✅ Technical Strengths
Strong confluence zone around 358–371 with multiple MTF & ITF demand overlaps.
Current price (Entry at 371) sits exactly at the Daily, Weekly, and 240M Demand Zones.
Tight Stop Loss (SL) just below 358 ensures defined risk.
All demand zones are freshly formed and respected, suggesting active buying interest.
📊 BEL Multi-Timeframe (MTF) Demand Zone Summary
TF Trend Logic Proximal Distal Avg
HTF (Yearly to Qtrly) UP Rally Base Rally 337 238 288
MTF (Monthly to Daily) UP BUFL / DMIP 387 363 375
ITF (240M to 60M) UP DMIP 369 360 364
🔹 All timeframes are aligned bullishly (UP trend), giving high confidence in upside continuation.
Target (8942) is far above recent highs (6269), suggesting ambitious long-term upside, possibly based on HTF breakouts or multi-month rallies.
RR of 6.1 is strong, especially for such a high-value stock and wide SL range.
Wide point variation (2673) suggests high volatility – suitable for swing/position traders with risk appetite.
✅ Summary Conclusion
Criteria Result
Trend (All TFs) Bullish ✅
Demand Zone Strength Strong, Deep Confluence ✅
Entry Zone Within Key Proximal DMIP ✅
RR 6.1 – Good but lower than BEL (12.6) and SBIN (32.6)
Volatility High – Requires larger capital or sizing control ⚠️
📌 Final Thought:
This PFIZER trade setup is very solid technically, especially for medium-to-long-term positional players. If you're prioritizing capital-efficient trades, BEL or SBIN may offer better RR vs. risk. But if you're aiming for large-cap momentum with long-term upside, this setup is a strong candidate
Parameter Value
Entry 4344
Stop Loss (SL) 3596
Risk 748 pts
Reward 4598 pts
Target 8942
Risk-Reward (RR) 6.1
🧠 Market Context
Metric Value
Last High 6269
Last Low 3596
Point Var 2673
✅ Technical Strengths
Strong confluence zone around 358–371 with multiple MTF & ITF demand overlaps.
Current price (Entry at 371) sits exactly at the Daily, Weekly, and 240M Demand Zones.
Tight Stop Loss (SL) just below 358 ensures defined risk.
All demand zones are freshly formed and respected, suggesting active buying interest.
📊 BEL Multi-Timeframe (MTF) Demand Zone Summary
TF Trend Logic Proximal Distal Avg
HTF (Yearly to Qtrly) UP Rally Base Rally 337 238 288
MTF (Monthly to Daily) UP BUFL / DMIP 387 363 375
ITF (240M to 60M) UP DMIP 369 360 364
🔹 All timeframes are aligned bullishly (UP trend), giving high confidence in upside continuation.
Target (8942) is far above recent highs (6269), suggesting ambitious long-term upside, possibly based on HTF breakouts or multi-month rallies.
RR of 6.1 is strong, especially for such a high-value stock and wide SL range.
Wide point variation (2673) suggests high volatility – suitable for swing/position traders with risk appetite.
✅ Summary Conclusion
Criteria Result
Trend (All TFs) Bullish ✅
Demand Zone Strength Strong, Deep Confluence ✅
Entry Zone Within Key Proximal DMIP ✅
RR 6.1 – Good but lower than BEL (12.6) and SBIN (32.6)
Volatility High – Requires larger capital or sizing control ⚠️
📌 Final Thought:
This PFIZER trade setup is very solid technically, especially for medium-to-long-term positional players. If you're prioritizing capital-efficient trades, BEL or SBIN may offer better RR vs. risk. But if you're aiming for large-cap momentum with long-term upside, this setup is a strong candidate
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.