Discover and read the best of Twitter Threads about #LODHA

Most recents (4)

#Q2LTB - LONG in #LODHA at 1337.85

1% Stop

Trimmed down to comfortable size at 1345.15

Holding rest

Free trade now

Sold some at 1964.6

Holding rest
Read 5 tweets
#MacrotechDevelopers (#Lodha) Q3 FY22 concall highlights 🏡🏠

Like and retweet for better reach !

1. Pre-sales were up 40% YoY - ₹2608 Cr. Highest in the last 12 quarters.
2. Affordable and mid-income segment accounted for 63% sales.
3. The UK pre-sales were also the best ever quarterly performance(GSQ -£177m, LSQ - £14mn ).
4. There was no major impact on construction progress from Omicron. There has been a slight deferment of sales(~₹200 Cr) which is expected to come back.
5. Raised ₹4000 Cr through a QIP with participation from marquee global investors. The proceeds were used to acquire new land through JD/JVA, buying out of minority interest in Palava and ₹750 Cr was used to take the benefit of 50%
Read 19 tweets
Magic of IPO Listing High/Base Break-Out

Reasons for BO:
1. Entry of Fund House
2. Delivered as mentioned by Mgmt.
3. New favouring Govt Policies.
4. Need of hours of the product.
Types of IPO BO Candidate. Three kinds:
#IPO_Candidate_1 - Premium Listing followed by 15-45% corrections. 2-4x Potential after listing high BO, Time-frame – 1yr. e.g. #INDIAMART #HAPPSTMNDS #MTARTECH #POLYCAB #ANURAS #AFFLE
Read 15 tweets
Ongoing IPO season and you’re frustrated about never getting allotment in any IPOs?

Don’t worry!,IPOs provide many opportunities post listing which many tend to ignore.

A Thread🧵 on one of my favourite setups called “IPO or Primary base”
Key points I look for in an ideal IPO base setup:

1) Listed at a premium, indicating buyers demand.

2) Makes a high within 3-5 weeks on the left side (I prefer stocks having listing day as high).

3) Correction of 20-30% from the high made(these can extend upto 50-60% too).
4) Consolidation of 4-8 weeks is ideal post listing (a longer consolidation can also be considered).

5)Buy above breakout of listing day high on huge volumes.
Cheat entries only if consolidation below 8 weeks

6) Risk management is key
Average Stop loss of 7-8% from buy is kept.
Read 11 tweets

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