Power of Technical Analysis
This channel does not provide any tips or recommendations about any financial products. I am not SEBI registered and all my post are for educational purpose only. Stocks chart with their name will not be shared on this channel.
Показати більше📈 Аналітичний огляд Telegram-каналу Power of Technical Analysis
Канал Power of Technical Analysis (@powerofta) у мовному сегменті Англійська є активним учасником. На даний момент спільнота об'єднує 12 087 підписників, посідаючи 9 953 місце в категорії Економіка та фінанси та 33 947 місце у регіоні Індія.
📊 Показники аудиторії та динаміка
З моменту свого створення невідомо, проект продемонстрував стрімке зростання, зібравши аудиторію у 12 087 підписників.
За останніми даними від 29 червня, 2026, канал демонструє стабільну активність. Хоча за останні 30 днів спостерігається зміна кількості учасників на -142, а за останні 24 години на -6, загальне охоплення залишається високим.
- Статус верифікації: Не верифікований
- Рівень залученості (ER): Середній показник залученості аудиторії становить 14.08%. Протягом перших 24 годин після публікації контент зазвичай збирає 8.94% реакцій від загальної кількості підписників.
- Охоплення публікацій: В середньому кожен допис отримує 1 702 переглядів. Протягом першої доби публікація в середньому набирає 1 081 переглядів.
- Реакції та взаємодія: Аудиторія активно підтримує контент: середня кількість реакцій на один пост – 10.
- Тематичні інтереси: Контент зосереджений навколо ключових тем, таких як chart, crore, mindset, moat, resistance.
📝 Опис та контентна політика
Автор описує ресурс як майданчик для висловлення суб'єктивної думки:
“This channel does not provide any tips or recommendations about any financial products. I am not SEBI registered and all my post are for educational purpose only. Stocks chart with their name will not be shared on this channel.”
Завдяки високій частоті оновлень (останні дані отримано 30 червня, 2026), канал підтримує актуальність та високий рівень охоплення публікацій. Аналітика показує, що аудиторія активно взаємодіє з контентом, що робить його важливою точкою впливу в категорії Економіка та фінанси.
Триває завантаження даних...
| Дата | Залучення підписників | Згадування | Канали | |
| 30 червня | 0 | |||
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| 28 червня | 0 | |||
| 27 червня | +7 | |||
| 26 червня | +1 | |||
| 25 червня | +2 | |||
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| 14 червня | +4 | |||
| 13 червня | 0 | |||
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| 09 червня | +4 | |||
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| 06 червня | +3 | |||
| 05 червня | +1 | |||
| 04 червня | 0 | |||
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| 02 червня | +7 | |||
| 01 червня | +3 |
| 2 | Today up 14% | 407 |
| 3 | Немає тексту... | 746 |
| 4 | Немає тексту... | 919 |
| 5 | Nifty ka time aane wala hai
Seat belts laga lo | 930 |
| 6 | Rishabh Instruments has demonstrated a strong recovery in profitability during FY26 following the successful turnaround of its HPDC business. The company's EBITDA margin improved to approximately 13–14%, recovering from around 7–8% in FY25, driven by better cost control, improved product mix, and operational efficiencies. Similarly, the Operating Profit Margin (OPM) returned to 13–14%, while the Net Profit Margin (NPM) increased to around 7–8%, reflecting a significant improvement in earnings quality. Return-based profitability ratios also strengthened, with Return on Equity (ROE) rising to 15–16% and Return on Capital Employed (ROCE) improving to 18–19%, indicating more efficient utilization of shareholders' funds and invested capital. | 938 |
| 7 | Valuation Ratios: Rishabh Instruments is currently trading at a valuation that reflects expectations of continued earnings recovery rather than deep undervaluation. The stock trades at a Price-to-Earnings (P/E) ratio of around 30–35x, supported by improving profitability and management's guidance for margin expansion. Its Price-to-Book (P/B) ratio of approximately 3–3.5x indicates that the market is assigning a premium to the company's improving return ratios and strong balance sheet. The Enterprise Value to EBITDA (EV/EBITDA) multiple is estimated at 16–18x, which is in line with quality industrial and engineering peers. While these multiples are not inexpensive, they appear reasonable if the company continues to deliver on its guidance of 20–25% growth in its core EEI business and sustains the turnaround in the HPDC segment. Overall, the stock can be considered fairly valued, with future upside largely dependent on consistent earnings growth, margin expansion, and improvement in return ratios rather than multiple re-rating alone. | 872 |
| 8 | Rishabh Instruments
Efficiency Ratio analysis
Rishabh Instruments has shown a significant improvement in capital efficiency during FY26. Return on Capital Employed (ROCE) improved to around 18–19% from approximately 14.5% in FY25, while Return on Equity (ROE) increased to 15–16% from about 12%, reflecting better profitability following the turnaround in its HPDC business. EBITDA and operating margins recovered to 13–14%, compared to around 7–8% in the previous year, leading to a net profit margin of 7–8%. The company maintains healthy asset utilization with an asset turnover ratio of around 1.1–1.2x and fixed asset turnover of 2.5–3x, indicating that existing manufacturing capacity is being utilized efficiently. Although the business remains working-capital intensive, inventory days of 90–100, receivable days of 75–85, and a cash conversion cycle of 110–130 days are reasonable for an engineering and export-oriented manufacturer. The balance sheet is strong, with debt-to-equity below 0.2x and an interest coverage ratio exceeding 10x, highlighting comfortable leverage and a robust ability to service debt. Overall, the improvement in efficiency ratios indicates that the company is entering a stronger profitability phase with better capital allocation and operational execution. | 794 |
| 9 | Aeroflex Industries FY26 Highlights
✅ Record financial performance in FY26
• Revenue: ₹441.9 Cr (+17% YoY)• EBITDA: ₹99.7 Cr (+26% YoY)• EBITDA Margin improved to 22.6%• PAT: ₹55.5 Cr (+5.8% YoY)• Cash Profit: ₹81.6 Cr (+28% YoY)
💡 Key Growth Drivers• Strong growth in high-margin assemblies business.• Successful entry into AI Data Centre Liquid Cooling segment.• Delivered 617 liquid-cooling skid assemblies in FY26, generating ₹21.2 Cr revenue.• Skid capacity to expand from 6,000 to 15,000 units/year by Q2FY27.
💰 Balance Sheet• Remains debt-free.• Cash & bank balance around ₹70 Cr.• Final dividend declared: ₹0.40/share (20%).
🎯 Management OutlookFocus remains on expanding AI/data centre cooling solutions, increasing contribution from value-added products, and scaling manufacturing capacity to drive long-term profitable growth.
Overall View: A strong set of results with improving operating performance and significant long-term growth potential from AI infrastructure and liquid cooling opportunities. | 801 |
| 10 | Successfully entered AI data centre liquid cooling business.
617 liquid-cooling skid assemblies delivered in FY26.
Generated ₹21.2 crore revenue from this new segment.
Skid manufacturing capacity expanded to 6,000 units/year, with a target of 15,000 units/year by Q2 FY27.
#AEROFLEX | 819 |
| 11 | EPACK Prefab continues to demonstrate strong business momentum with 35% revenue growth, 56% PAT growth, ₹135 crore operating cash flow, and ₹107 crore debt reduction in FY26. Management has guided for 30% revenue growth and 10%+ EBITDA margin for FY27, supported by a ₹1,117 crore order book, ₹5,000 crore project pipeline, and expansion into high-growth sectors like renewables, data centres, logistics, and semiconductors.
#EPACKPEB | 1 019 |
| 12 | Немає тексту... | 1 131 |
| 13 | #nifty CMP 23945
Support 23830 | 1 117 |
| 14 | #PERSISTENT
Today's ~10% fall suggests investors are focusing on:
140% acquisition premium.
€1.4 billion debt-funded transaction.
Integration of an 18,500-employee company.
Uncertainty about synergy realization. | 1 164 |
| 15 | #CNXPHARMA
nifty pharma
📊 Technical View: Nifty Pharma Index (Weekly Chart)
The Nifty Pharma Index has given a strong breakout above the 24,000 resistance zone with rising volumes. The index is trading above the 10 & 20 EMA, while RSI is above 70, indicating strong bullish momentum. This breakout suggests that the pharma sector is likely to remain in focus over the coming weeks.
Trade Plan (Sector View):
✅ Fresh Buying: On dips towards 24,000–24,300
➕ Accumulate: Quality pharma stocks showing similar breakout patterns.
🛑 Stop Loss: Weekly closing below 23,800
🎯 Target 1: 26,000
🎯 Target 2: 27,000
🎯 Final Target: 28,000
The sector has entered a strong bullish phase. Traders and investors can look for buying opportunities in fundamentally strong pharma stocks on dips rather than chasing sharp rallies.
⚠️ Disclaimer: This analysis is shared solely for educational purposes and should not be considered investment advice or a recommendation to buy or sell any security. Please do your own research and consult your financial advisor before investing. | 1 282 |
| 16 | TITAGARH WAGON: EXPECTING LARGE ORDERS FROM INDIAN RAILWAYS: INTERVIEW | 1 166 |
| 17 | Немає тексту... | 1 361 |
| 18 | Today at 8.30 pm
PAS class will be held
To register wa.me/919625697175
Fees 6000
Original Price 12000 | 1 407 |
| 19 | 📊 Trade Setup – Entry Logic
Stock triggered a high-probability breakout setup.
Why the entry was taken:
✅ Price gave a strong breakout from a tight consolidation near the upper Bollinger Band.
✅ Breakout candle closed with very high volume, confirming strong buying interest.
✅ The breakout candle was trading above VWAP, indicating buyers were in complete control.
✅ RSI moved above 60 and continued rising, showing increasing bullish momentum.
✅ Entry was taken on the breakout/retest zone with the stop-loss placed below the recent swing low to maintain a favorable risk-reward ratio.
Trade Management:
🎯 Target: As per 1:3 (or better) Risk:Reward.
🛑 Stop Loss: Below the recent swing low.
Disclaimer:
This trade is shared only for educational purposes and is not a buy or sell recommendation. Always follow proper risk management and trade according to your own analysis. | 1 506 |
| 20 | Today at 8.30 pm
PAS class will be held
To register wa.me/919625697175
Fees 6000
Original Price 12000 | 1 445 |
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