BAJAJ FINANCEBajaj Finance LimitedNSE:BAJFINANCEpradyammmBAJFINANCE MTF SETUP: - Trend: UP on all frames (Y, 6M, Q, M, W, D) - Strong Monthly Demand @ 849–920 - Active DMIP Zone: 963–976 - Entry: 976 | SL: 965 | Target: 1272 - RR: 26.9x | ROI (4M): 136% - EPS & Results Positive 16 Qtrs - Above Gann 908 → Long bias intact 🔶 TECHNICAL & FUNDAMENTAL HIGHLIGHTS ✅ Strong Monthly Demand breakout last month ✅ Trading above Gann level (Bullish confirmation) ✅ 16 consecutive positive quarterly results ✅ Rising EPS trend → Strong fundamental momentum ✅ All timeframes aligned UP → High conviction long setup 💹 TRADE PLAN PARAMETERVALUE Entry₹976 Stop-Loss (SL)₹965 Risk per share₹11 Target (30%)₹1272 Reward per share₹296 R:R Ratio26.9 : 1 Qty1,000 shares Total Buy Value₹976,000 MTF Margin (80%)₹780,800 Capital Used₹195,200 Brokerage + Taxes (0.49%)₹4,784 Net Profit (if target hit)₹291,216 Net Loss (if SL hit)₹15,784 Net R:R after costs18.45 : 1 Gann High Level₹908 (Uptrend confirmation) Gann Low Level₹898 (Downtrend trigger) 💰 ROI & MTF Calculation PARAMETERVALUE Holding Period (Target in)4 months Interest per annum9.69% Interest for 4 months₹24,874 Total Net Profit (after interest)₹266,341 Real ROI (4 months)136%