KARUR VYASA

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KARUR VYASAKarur Vysya Bank Ltd.NSE:KARURVYSYApradyammm1️⃣ Multi-Timeframe Analysis (MTF & ITF) TimeframeTrendLogic / ObservationProximalDistalAverage YearlyUPSupport205154180 Half-YearlyUPRally Base Rally205154180 QuarterlyUPSupport205154180 MTF AverageUP—205154180 MonthlyUPDMIP220201211 WeeklyUPBUFL232220226 DailyUPDMIP225220223 MTF AverageUP—226214220 240M ITFUPDMIP225220223 180M ITFUPDMIP225220223 60M ITFUPDMIP225220223 ITF AverageUP—225220223 ✅ Observation: All timeframes show an uptrend, signaling bullish momentum across yearly, quarterly, monthly, weekly, daily, and intraday frames. 2️⃣ Trade Plan Overview ParameterValue Entry-1232 Entry-2225 Average Entry220 Stop Loss (SL)201 Risk per Share19 Qty to Buy5,000 Total Buy Value1,100,000 MTF Exposure65% Capital Value385,000 Brokerage & Taxes0.490% Brokerage Value5,392 First Target266 Positional Target312 Last High MTF205 Last High Supply258 Last High Demand212 Variance H D & Supply46 Upside Potential251 RR (Risk-Reward)2.44 3️⃣ Profit / Loss Scenario ScenarioValue First Profit Booking @ 70%110,500 Second Profit @ 30%140,000 Total Profit (If Trade Goes Favorably)250,500 Net Profit (After Brokerage)245,108 Loss (If Trade Goes Against)95,000 Net Loss (After Brokerage)100,392 4️⃣ ROI & Interest Calculations MetricValue Real ROI if Target Hit in 12 Months— MTF Capital715,000 Interest Per Annum9.69% Interest Per Day0.03% Total Interest69,284 Total Net Profit175,824.49 Real ROI if Target Hit in 4 Months46% 5️⃣ Gann Points (Trend Confirmation) Gann High (Uptrend): 243 Gann Low (Downtrend): 200 ⚡ Interpretation: Price above 243 confirms a strong uptrend; price below 200 signals a potential downtrend. Currently, the plan suggests entering around 225–232, well above yearly support at 180, aligning with an upward trajectory. Summary & Actionable Insights Trend: Strong bullish across all timeframes (yearly to intraday). Entry Range: 225–232 (with average at 220) Stop Loss: 201 (risk ~19 per share) Targets: 266 (first) → 312 (final positional target) Risk-Reward: 2.44 → favorable for medium-term positional trade. Potential Net Profit: ~245k with proper execution; downside risk ~100k. Real ROI: ~46% if achieved in 4 months. 📌 Key Notes: All MTFs and ITFs confirm uptrend → momentum is positive. First profit booking at 266 (70% quantity) ensures partial gains are secured. Positional target at 312 maximizes upside potential if trend continues.