AXIS BANK
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Multi-Timeframe (MTF) Analysis β AXIS BANK
TF Zone Trend Logic Proximal Distal Avg
Yearly Demand UP Demand 867 616 742
Half-Yearly Demand UP BUFL 1151 814 983
Quarterly Demand UP BUFL 1151 814 983
Monthly Demand UP BUFL 970 814 892
Weekly Demand UP BUFL 945 814 880
Daily Demand UP DMIP BUFL 964 814 889
Intraday (60mβ240m) Demand UP DMIP 964 814 889HTF Average Zone: 1056 β 748
MTF Average Zone: 960 β 814
ITF Average Zone: 964 β 814
Trading above 1135 (with bullish daily close) confirms strength and continuation of uptrend.
Trade Plan β AXIS BANK
Entry Price: 964
Stop Loss (SL): 814
Target: 1400
Last Swing High: 1250
Last Swing Low: 814
Capital & Risk-Reward
Qty to Buy: 5000
Investment Value: βΉ4,820,000
Risk per Trade (SL 814): βΉ750,000
Potential Reward (Target 1400): βΉ2,180,000
Net Profit after Brokerage (0.49%): βΉ2,156,373
Net Loss if SL Hit: βΉ773,627
Risk-Reward Ratio (RR): ~2.79
ROI & Interest Impact
Capital at Risk: βΉ964,000
MTF Capital Required: βΉ3,856,000
Estimated Duration to Target: 4 months
Interest Cost (9.69% p.a.): βΉ122,843
Net Profit After Cost: βΉ2,033,531
Real ROI (4 months): 211%
Key Notes for Execution
Entry only if price sustains above 964 with volumes.
Major confirmation comes on daily close above 1135 (strong bullish trigger).
Partial booking possible near 1250 (last high); trail SL to cost after breakout.
Safe RR ~2.8 means the trade is attractive for positional holding.
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Multi-Timeframe (MTF) Analysis β AXIS BANK
TF Zone Trend Logic Proximal Distal Avg
Yearly Demand UP Demand 867 616 742
Half-Yearly Demand UP BUFL 1151 814 983
Quarterly Demand UP BUFL 1151 814 983
Monthly Demand UP BUFL 970 814 892
Weekly Demand UP BUFL 945 814 880
Daily Demand UP DMIP BUFL 964 814 889
Intraday (60mβ240m) Demand UP DMIP 964 814 889HTF Average Zone: 1056 β 748
MTF Average Zone: 960 β 814
ITF Average Zone: 964 β 814
Trading above 1135 (with bullish daily close) confirms strength and continuation of uptrend.
Trade Plan β AXIS BANK
Entry Price: 964
Stop Loss (SL): 814
Target: 1400
Last Swing High: 1250
Last Swing Low: 814
Capital & Risk-Reward
Qty to Buy: 5000
Investment Value: βΉ4,820,000
Risk per Trade (SL 814): βΉ750,000
Potential Reward (Target 1400): βΉ2,180,000
Net Profit after Brokerage (0.49%): βΉ2,156,373
Net Loss if SL Hit: βΉ773,627
Risk-Reward Ratio (RR): ~2.79
ROI & Interest Impact
Capital at Risk: βΉ964,000
MTF Capital Required: βΉ3,856,000
Estimated Duration to Target: 4 months
Interest Cost (9.69% p.a.): βΉ122,843
Net Profit After Cost: βΉ2,033,531
Real ROI (4 months): 211%
Key Notes for Execution
Entry only if price sustains above 964 with volumes.
Major confirmation comes on daily close above 1135 (strong bullish trigger).
Partial booking possible near 1250 (last high); trail SL to cost after breakout.
Safe RR ~2.8 means the trade is attractive for positional holding.
@lingriiddd
Really solid analysis! Love how the multi-timeframe zones are laid out β gives a clear picture of both risk and potential. The risk-reward of ~2.8 looks very attractive for anyone planning a positional hold on Axis Bank." -
Multi-Timeframe (MTF) Analysis β AXIS BANK
TF Zone Trend Logic Proximal Distal Avg
Yearly Demand UP Demand 867 616 742
Half-Yearly Demand UP BUFL 1151 814 983
Quarterly Demand UP BUFL 1151 814 983
Monthly Demand UP BUFL 970 814 892
Weekly Demand UP BUFL 945 814 880
Daily Demand UP DMIP BUFL 964 814 889
Intraday (60mβ240m) Demand UP DMIP 964 814 889HTF Average Zone: 1056 β 748
MTF Average Zone: 960 β 814
ITF Average Zone: 964 β 814
Trading above 1135 (with bullish daily close) confirms strength and continuation of uptrend.
Trade Plan β AXIS BANK
Entry Price: 964
Stop Loss (SL): 814
Target: 1400
Last Swing High: 1250
Last Swing Low: 814
Capital & Risk-Reward
Qty to Buy: 5000
Investment Value: βΉ4,820,000
Risk per Trade (SL 814): βΉ750,000
Potential Reward (Target 1400): βΉ2,180,000
Net Profit after Brokerage (0.49%): βΉ2,156,373
Net Loss if SL Hit: βΉ773,627
Risk-Reward Ratio (RR): ~2.79
ROI & Interest Impact
Capital at Risk: βΉ964,000
MTF Capital Required: βΉ3,856,000
Estimated Duration to Target: 4 months
Interest Cost (9.69% p.a.): βΉ122,843
Net Profit After Cost: βΉ2,033,531
Real ROI (4 months): 211%
Key Notes for Execution
Entry only if price sustains above 964 with volumes.
Major confirmation comes on daily close above 1135 (strong bullish trigger).
Partial booking possible near 1250 (last high); trail SL to cost after breakout.
Safe RR ~2.8 means the trade is attractive for positional holding.
@lingriiddd
Great breakdown with precise entry, SL, and target levels. I appreciate the emphasis on daily close confirmation and partial booking β feels like a well-thought-out, realistic plan for capturing this uptrend." -
@lingriiddd
Solid breakdown! The RR of ~2.8 really stands out here β not many setups give this kind of risk-to-reward balance. Entry at 964 with confirmation above 1135 makes sense. I like the idea of partial booking at 1250 while trailing SL β that way youβre locking in gains without losing momentum. -
Really appreciate how you tied HTF, MTF, and ITF zones together. Too often traders just look at one timeframe and miss the bigger picture. Having demand zones aligned across yearly, quarterly, and monthly charts gives this trade much higher conviction in my view.