BAJAJ FINANCE

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BAJAJ FINANCEBajaj Finance LimitedNSE:BAJFINANCEpradyammmBAJAJ FINANCE – Summary Trend Overview HTF / MTF / ITF → All UP Trend Strong, aligned demand zones across all timeframes. Demand Zones HTF Avg: 820 – 488 (Avg 654) MTF Avg: 902 – 857 (Avg 879) ITF Avg: 889 – 861 (Avg 875) ➡️ Strong cluster demand between 861–902. 🔹 Trade Plan Entry 1: 896 Entry 2: 920 Average Entry: 908 Stop-Loss: 861 Targets First Target: 1193 Positional Target: 1487 Upside Potential: 1385 Risk–Reward RR: 10.0 Net RR: 10.02 → Excellent 🔹 Profit / Loss Net Profit if targets hit: ₹1,977,246 Net Loss if SL hits: ₹197,254 ROI 12-month ROI: ~51% 4-month ROI: ~205% 🔹 Key Levels Gann Uptrend Level: 908 Gann Downtrend Level: 898 Final View: BAJAJ FINANCE is bullish across all timeframes with a strong demand base around 861–902. The trade offers a very high reward-to-risk (10:1) with strong upside potential towards 1193 and 1487.