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AGIIL
Closed
Real
Long term
Buy
GrowthBreakoutReal Estate
Realised net P&L
+₹3,209
+16.24% Stop
908.96
Entry
988.00
Target
1,100.00
Exit
1,151.60
Gross P&L
+₹3,272
charges ₹63 · net +₹3,209
R multiple
+2.07R
risk ₹1,581 (8.0% of entry)
Position value
₹19,760
20 shares
Held
90 days
25 Jun 2025 → 23 Sep 2025
Plan & position
Entry988.00
Quantity20
Pivot / trigger—
Initial stop908.96
Current stop908.96
Max SL938.60
Target1,100.00
RR ratio1.42
Average exit1,151.60
Exit value₹23,032
Context at entry
MotiveGrowth
ZoneBreakout
SectorReal Estate
Candle pattern—
Volume confirmation—
Market —
Exits
1 order| Date | Price | Qty | Move | Result | Note |
|---|---|---|---|---|---|
| 23 Sep 2025 | 1,151.60 | 20 | +16.56% | Risk management adjustment |
Journal
Why I took it
—
Post-exit comment
anything could happen in market, wisdom is quit the moment you see its over, don’t wait to recover
Notes
the way you research before entry do the same before exit.