I HAVE BEEN WATCHING THIS STOCK SINCE AUG 2016. LAST 8 MONTHS SIDEWAYS ONLY WAS HAPPENING. BECAUSE OF JIO SIM RELEASE THE STOCK VALUE HAS GONE 52 WEEKS LOW. BUT THIS 20 DAYS THIS STOCK IS GOING HIGH VOLUME IS ALSO GOOD DURING THIS TREND CHANGE.
FUNDAMENTAL ANALYSIS: OVERALL PERFORMANCE WILL BE GOOD DUE TO M & A WITH VODAFONE
can u please share how did you come about the stop loss and target price for Above pattern?