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MANORAMA
Closed
Real
Long term
Buy
GrowthBreakoutFood-Packaged
Realised net P&L
−₹2,683
−8.52% Exit
1,445.00
Stop
1,449.00
Entry
1,575.00
Gross P&L
−₹2,600
charges ₹83 · net −₹2,683
R multiple
−1.03R
risk ₹2,520 (8.0% of entry)
Position value
₹31,500
20 shares
Held
20 days
16 Jul 2025 → 05 Aug 2025
Plan & position
Entry1,575.00
Quantity20
Pivot / trigger—
Initial stop1,449.00
Current stop1,449.00
Max SL1,449.00
Target—
RR ratio—
Average exit1,445.00
Exit value₹28,900
Context at entry
MotiveGrowth
ZoneBreakout
SectorFood-Packaged
Candle pattern—
Volume confirmation—
Market —
Exits
1 order| Date | Price | Qty | Move | Result | Note |
|---|---|---|---|---|---|
| 05 Aug 2025 | 1,445.00 | 20 | −8.25% | Stop loss hit |
Journal
Why I took it
—
Post-exit comment
sometime stock goes down after forming a perfect base, it important to follow strict SL. If it reaches danger zone, 50 DMA or SL level sell it whatever situation it is.
Notes
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