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    Home » stock picks: 2 top stock recommendations from Rahul Sharma
    World Economy

    stock picks: 2 top stock recommendations from Rahul Sharma

    morshediBy morshediFebruary 6, 2025No Comments5 Mins Read
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    stock picks: 2 top stock recommendations from Rahul Sharma
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    “So, net-net, general, issues are getting higher incrementally for the market and we’re seeing that when this pullback is completed, we should always see one other spherical of rally developing available in the market,” says Rahul Sharma, JM Financial Services.

    Give us a way of the type of ranges that you’re recognizing for the Nifty in addition to the Nifty Bank going forward as a result of we perceive that we do have a catalyst occasion tomorrow the place a price minimize of 25 bps is being anticipated. However aside from that, if you’re purely these charts from a technical perspective, what are the subsequent resistance and help degree that you’re seeing for each the Nifty in addition to Nifty Financial institution?
    Rahul Sharma: So, we now have seen a 1000-point rally on the Nifty submit which we’re pulling again on the important thing indices in as we speak’s session. This was one thing which was anticipated. And what this provides is a chance to re-enter into lengthy positions. Now, the important thing help ranges for the Nifty or moderately entry factors for the Nifty are at 23,400, 23,450. This drop might prolong as much as that degree. However the positional setup or the structural setup of the Nifty has improved by a giant margin during the last 8-10 buying and selling classes. And we really feel that this dip will get purchased into. Now, as soon as the dip will get purchased into, we really feel the turnaround might take us to 24,000, 24,200 over the subsequent 8 to 10 buying and selling classes and we really feel that there’s extra upside available than the 1000-point rally that we now have seen. So, net-net, we’re advising purchasers to be consumers on dip.

    Sure, it’s a main occasion. Even as we speak, we now have Delhi elections end result. Tomorrow, we now have the RBI coverage. So, a little bit of volatility shall be there. However we really feel that positionally the setup of the market is fairly strong and that is additionally backed by the truth that FIIs have lined their shorts in a big method on this rally and on the similar time, we did see a inexperienced shoot of a purchase determine within the money phase in a day earlier than yesterday’s session.

    So, net-net, general, issues are getting higher incrementally for the market and we’re seeing that when this pullback is completed, we should always see one other spherical of rally developing available in the market.
    What precisely to go forward and purchase, a few of these overwhelmed down capex-related counters or would you advise to purchase a few of these pharma shares which can be doing fairly nicely as we speak?
    Rahul Sharma: So, there are two sectors the place we really feel the traction might be rapid. So, one is on the auto area. So, Maruti stays our high decide on this area, though two-wheeler auto shares have additionally reversed on the long-term charts. Now, Maruti appears to be like good for a goal of 13,600, even 14,000 could be very a lot on the playing cards. So, one can look to purchase Maruti at present ranges and perhaps on dips right down to 13,000 with the cease loss positioned at 12,600 and we really feel that the massive transfer that we noticed on the price range day is one thing that would proceed within the subsequent 8 to 10 buying and selling classes.Second inventory which appears to be like good is from the personal banking pack. Axis Bank appears to be like fairly stable at these ranges. The inventory has additionally given a reversal and we really feel that the inventory might prolong it features as much as 1080, 1100 on the upside. So, look to purchase Axis Bank at present ranges with the cease loss positioned at 970 and that is one other inventory which has been comparatively overwhelmed down just about within the personal banking area the place comparatively shares have performed nicely and the risk-reward at present ranges is fairly beneficial. So, these are the highest two picks from the largecap area the place we really feel shares can do nicely over the subsequent few days.
    Additionally, give us a way on what you make of your complete Nifty FMCG area, the consumption basket, as a result of after the preliminary run-up that we noticed on price range day, this index has not been doing all that nicely. Do you imagine this additional drop that we maintain seeing on this index now’s making the shares from this basket extra enticing?
    Rahul Sharma: On the FMCG area, A) it was a kind of sectors which ended their correction fairly quickly in November itself and submit that, the sector has been sideways. We did see a giant flare-up across the price range and what we’re seeing proper now within the final three-four buying and selling classes is merely a pullback. So, structurally, we now have not modified the view and we really feel that when this pullback is completed, the sector would reverse and from a 3 to six-month perspective we really feel that that is one area which might outperform the market and generate returns from right here.

    So, if you’re an investor, there’s nothing to be anxious about. However if you’re a dealer, most likely the short-term ranges of the person inventory set-up issues so much, however within the general scheme of issues we really feel that the risk-reward continues to be beneficial for contemporary lengthy addition on the FMCG facet.



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