1. Downward trendline since IPO broken
2. Volumes increase post trendline break
3. Double bottom made near 310
4. IT sector started move in anticipation of good quarterly results.
Buy on dips near 340-335 zone..
Timeframe: 1-3months
Target1: 365 => RR 1:2
Target2: 400 => RR 1:3
Stoploss: 320/310 (based on risk profile)