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🟢 BEST Quarterly results - ACMESOLAR(ACME Solar Hold.)
LTP: 274.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 80.0% | EPS: Up by 555.0%
- Operating Profit: Up by 81.0% | Net Profit: Up by 632.0%
Values:
- Sales: 468.0 vs 511.0 vs 260.0
- Net Profit: 115.0 vs 131.0 vs 15.3
- EPS: 1.9 vs 2.16 vs 0.29
Quarterly results - POWERINDIA(Hitachi Energy)
LTP: 20457.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 18.0% | EPS: Up by 381.0%
- Operating Profit: Up by 172.0% | Net Profit: Up by 406.0%
Values:
- Sales: 1833.0 vs 1479.0 vs 1554.0
- Net Profit: 264.0 vs 132.0 vs 52.3
- EPS: 59.31 vs 29.52 vs 12.34
Quarterly results - CSBBANK(CSB Bank)
LTP: 419.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 28.0% | EPS: Up by 16.0%
- Operating Profit: Up by 14.0% | Net Profit: Up by 16.0%
Values:
- Sales: 1109.0 vs 1041.0 vs 865.0
- Net Profit: 160.0 vs 119.0 vs 138.0
- EPS: 9.24 vs 6.84 vs 7.98
“Position sizing isn’t about greed — it’s about survival.
The trader who survives long enough, wins.” — Mark Minervini
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“If you don’t manage the risk, it will manage you.
Every great trader—O’Neil, Tudor Jones, Minervini—focuses on risk first.
I never, ever voluntarily allow a loss to exceed 8%.” - Mark minervini
Mark’s Rule

“Your risk per trade must be small enough that 15 consecutive losers won’t knock you out.”

He calls this “survivability math.”

That’s why he:

Limits max loss per trade to 8% (hard stop)

Risks only 0.5%–1% of equity per trade (position sizing based on stop distance)

Uses progressive exposure — reducing size after losses, increasing after wins
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“Patterns repeat because human behavior repeats. IPO or not, the only thing that matters is supply and demand.” — Mark Minervini
VARROC shows a textbook VCP pattern with three contractions (17% → 8% → 3%), volume contraction, and tight action above 50-SMA.
Entry: ₹648+
Stop-loss: ₹610
Target: ₹720–₹740 (first stage)
Setup Type: Stage 2 VCP breakout — low-risk, high-probability SEPA entry.
Pattern: Secondary base / mini VCP near highs
Entry: ₹193 + on breakout (Volume > 1.5× avg)
Stop-Loss: ₹177 – ₹178
Target 1: ₹210 – ₹215 (short-term)
Trend Hold: As long as price > 21 EMA
Stage: Stage 2 continuation
Quarterly results - KAPSTON(Kapston Services)
LTP: 298.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 25.0% | EPS: Up by 78.0%
- Operating Profit: Up by 37.0% | Net Profit: Up by 78.0%
Values:
- Sales: 210.0 vs 190.0 vs 168.0
- Net Profit: 7.02 vs 6.1 vs 3.94
- EPS: 3.46 vs 3.01 vs 1.94
Quarterly results - KANORICHEM(Kanoria Chem.)
LTP: 80.2
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 19.0% | EPS: Up by 773.0%
- Operating Profit: Up by 3179.0% | Net Profit: Up by 93.0%
Values:
- Sales: 210.0 vs 201.0 vs 177.0
- Net Profit: 91.8 vs -13.8 vs -16.5
- EPS: 21.39 vs -1.79 vs -3.18
Quarterly results - KEC(K E C Intl.)
LTP: 722.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 19.0% | EPS: Up by 88.0%
- Operating Profit: Up by 34.0% | Net Profit: Up by 88.0%
Values:
- Sales: 6092.0 vs 5023.0 vs 5113.0
- Net Profit: 161.0 vs 125.0 vs 85.4
- EPS: 6.04 vs 4.68 vs 3.21
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Forwarded from Stock Alert
🟢 BEST Quarterly results - ORIENTCER(Orient Ceratech)
LTP: 35.9
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 61.0% | EPS: Up by 320.0%
- Operating Profit: Up by 79.0% | Net Profit: Up by 305.0%
Values:
- Sales: 114.0 vs 98.4 vs 70.3
- Net Profit: 7.49 vs 4.3 vs 1.85
- EPS: 0.63 vs 0.36 vs 0.15
Forwarded from Stock Alert
🟢 BEST Quarterly results - ROSSTECH(Rossell Techsys)
LTP: 712.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 145.0% | EPS: Up by 5100.0%
- Operating Profit: Up by 156.0% | Net Profit: Up by 5770.0%
Values:
- Sales: 125.0 vs 87.2 vs 51.1
- Net Profit: 5.67 vs 3.3 vs -0.1
- EPS: 1.5 vs 0.88 vs -0.03
Forwarded from Stock Alert
🟢 BEST Quarterly results - DIACABS(Diamond Power)
LTP: 147.0
Periods: Sep 2025 vs Jun 2025 vs Sep 2024
Growth:
- Sales: Up by 75.0% | EPS: Up by 562.0%
- Operating Profit: Up by 252.0% | Net Profit: Up by 593.0%
Values:
- Sales: 438.0 vs 302.0 vs 250.0
- Net Profit: 27.7 vs 20.1 vs 4.0
- EPS: 0.53 vs 0.38 vs 0.08
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VIYASH

Seen last 3 contractions and each contraction is less than previous one.
3T 25/6 pattern. Breakout with good volume.
Setup looks good to me.
Buy near 210 to 214
SL is around 19
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Dear Members,

We are pleased to announce an upcoming webinar on mastering the ssstockalerts platform like a professional. This session will be led by Shami Pillai, a seasoned trader with over 15 years of experience in the markets. In addition to exploring advanced feature utilization, we will also delve into the latest enhancements to the ssstockalerts platform.

The session is scheduled for Saturday, February 8, 2026, at 5:00 PM.

If you are interested in attending, please put your like symbol
The meeting link will be shared below
https://teams.microsoft.com/meet/46335204426597?p=fgnoHFLTf5N5Khhosp
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SSStockAlerts Support
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Dear friends due to personal emergency today’s webinar scheduled at 5pm postponed to tomorrow 5pm (8-Feb-2026 5pm)
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Dear Friends,
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Please don’t pay.

We never reach out people like that.
Stay safe
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