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Showing posts from September, 2012

For 01 OCT 2012

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Intraday trading strategy  Strategy performance report : On 28 SEPT 2012, Stock futures entered ABB-(25-10-2012)(Buy/Long) return(%): 1.42% SUZLON-(29-11-2012)(Short Sell) return(%): 1.68% Net Strategy return(%): 1.55%  Absolute Strategy Return from 17 Jan 2012(%):26.58% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 IOC 25-Oct-12 - 2 SOUTHBANK 25-Oct-12 - 3 BPCL 25-Oct-12 - 4 KOTAKBANK 25-Oct-12 - 5 IOB 25-Oct-12 - Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short

Weekly View:For 1 Oct. 2012, Mon-6 Oct 2012, Sun

S&P CNX NIFTY 50 future (5723.00): Resistance 5784 / 5825 / 5858 Support: 5683 / 5604 / 5533  Our view: As of now it seems that the NIFTY may fall to see 5604 level. Over all: In coming week, the NIFTY has good resistance near 5784 level and is expected to hold, however a significant break out above which may target 5825 level. On the downside, the NIFTY may fall to test support near 5683 level and a significant break below which may target 5604 level. A further extension of this fall to 5533 level is likely to occur if momentum builds. USDINR future (53.070): Resistance: 53.290 / 53.785 / 54.290 Support: 52.850 / 52.395 / 51.695 Our view: As of now it seems that the USDINR may rise to see 53.785 level. Over all: In coming week, the USDINR has good support near 52.850 level but a significant break below which may take the pair to test support near 52.395 level. however, on the upside, the pair has resistance near 53.290 level, and a significant break above

Performance Charts-Updated Every Week

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Intraday trading strategy: From 17 Jan 2012-Till date Daily Average Return(%):0.15% Weekly Average Return(%):0.72% Monthly Average Return(%):2.95% Absolute Strategy Return(%):26.58% **Charts showing results for only intraday trading strategy. Individual Stock's future for day trading: Total Long or Buy Recommended from 11 June 2012: 279 Ended Green: 242(86.73%)                                   Ended Red: 37(13.26%)                                                               Total Short Sell recommended from 11 June 2012:46 Ended Green: 39(84.78%) Ended Red: 7(15.21%)

For 28 SEPT 2012

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Intraday trading strategy  Strategy performance report : On 26 SEPT 2012, Stock futures entered KOTAKBANK-(25-10-2012)(Buy/Long) return(%): 1.29% HCC-(27-09-2012)(Short Sell) return(%): 4.54% Net Strategy return(%): 2.92%  Absolute Strategy Return from 17 Jan 2012(%):25.03% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 MARUTI 29-Nov-12 SUZLON 29-Nov-12 2 AUROPHARMA 25-Oct-12 - 3 ABB 25-Oct-12 - 4 BANKBARODA 25-Oct-12 - 5 IDFC 25-Oct-12 - Based On Stock Selection Criteria II Rank Buy/Long Ex

For 27 SEPT 2012

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Intraday trading strategy  Strategy performance report : On 26 SEPT 2012, Stock futures entered Not be able to take any position as strategy needs at least two stock futures, one to go long and another one to go short. Recommended futures for Short sell has given opening below previous day's close. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17 Jan 2012(%):22.11% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 MCDOWELL-N 25-Oct-12 - 2 BATAINDIA 25-Oct-12 - 3 SESAGOA 29-Nov-12 - 4 KOTAKBANK 25-Oct-12 - 5 NMDC 25-Oct-

For 26 SEPT 2012

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Intraday trading strategy  Strategy performance report : On 25 SEPT 2012, Stock futures entered RENUKA-(29-11-2012)(Buy/Long) return(%): 0.00% BHUSHANSTL-(25-10-2012)(Short Sell) return(%): -0.28% BHARTIARTL-(27-09-2012)(Short Sell) return(%): 1.11% Net Strategy return(%): 0.27%  Absolute Strategy Return from 17 Jan 2012(%):22.11% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 LICHSGFIN 29-Nov-12 - 2 PETRONET 25-Oct-12 - 3 IOB 25-Oct-12 - 4 PEL 25-Oct-12 - 5 TCS 29-Nov-12 - Based On Stock Selection

For 25 SEPT 2012

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Intraday trading strategy  Strategy performance report : On 24 SEPT 2012, Stock futures entered Not be able to take any position as strategy needs at least two stock futures, one to go long and another one to go short. Recommended futures for Short sell has given opening below previous day's close. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17 Jan 2012(%):21.84% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 JSWSTEEL 29-Nov-12 BHUSANSTL 25-Oct-12 2 RENUKA 29-Nov-12 - 3 JINDALSTEL 29-Nov-12 - 4 COLPAL 27-Sep-12 - 5

For 24 SEPT 2012

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Intraday trading strategy Strategy performance report : On 21 SEPT 2012, Stock futures entered BEL-(27-09-2012)(Buy/Long) return(%): 3.18% SUZLON-(25-10-2012)(Short Sell) return(%): -4.30% PETRONET-(27-09-2012)(Short Sell) return(%): 1.72% Net Strategy return(%): 0.20%  Absolute Strategy Return from 17 Jan 2012(%):21.84% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 KTKBANK 25-Oct-12 - 2 IDEA 25-Oct-12 - 3 SRTRANSFIN 27-Sep-12 - 4 PANTALOONR 25-Oct-12 - 5 AUROPHARMA 25-Oct-12 - Based On Stock Selec

Weekly View:For 24 Sept. 2012, Mon-30 Sept 2012, Sun

S&P CNX NIFTY 50 Future (5710.00): Resistance: 5750 / 5796 / 5870  Support: 5678 / 5623 / 5520 Our View: As of now it seems that the NIFTY may rise to test resistance near 5750 level and then fall back to test support near 5623 level. Over all: In coming week, the NIFTY has good resistance near 5750 level and a significant break out above which may target 5796 level. However, on the downside, the NIFTY has support near 5678 level and a siginficant dip below which may target 5623 level and if momnetum builds, then the NIFTY may extend its fall to test support near 5520 level. USDINR future (53.485): Resistance: 53.714 / 54.247 / 54.506 Support: 53.238 / 52.808 / 52.432 Our View: As of now it seems that the USDINR may rise to see 54.247 level. Over all: In coming week, the pair has to watch out a crucial resistance level near 53.714 level and a siginificant break out above which may take the pair to test another Resistance level near 54.247 level. However, o

Performance Charts-Updated Every Week

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  Intraday trading strategy: From 17 Jan 2012-Till date Daily Average Return(%):0.13% Weekly Average Return(%):0.6% Monthly Average Return(%):2.67% Absolute Strategy Return(%):21.84% **Charts showing results for only intraday trading strategy. Individual Stock's future for day trading: Total Long or Buy Recommended from 11 June 2012: 252 Ended Green: 217(86.11%)                                       Ended Red: 35(13.88%)                                                                 Total Short Sell recommended from 11 June 2012:43 Ended Green: 36(83.72%) Ended Red: 7(16.27%)

For 21 SEPT 2012

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Intraday Trading strategy: Strategy performance report : On 20 SEPT 2012, Stock futures entered Not be able to take any position as strategy needs at least two stock futures, one to go long and another one to go short. Recommended futures for Short sell has given opening below previous day's close. Net Strategy return(%): 0.00% Absolute Strategy Return from 17 Jan 2012(%):21.64% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 TATACOMM 25-Oct-12 SUZLON 25-Oct-12 2 OIL 27-Sep-12 HDIL 25-Oct-12 3 SUNPHARMA 25-Oct-12 PUNJLLOYD 29-Nov-12 4 POWERGRID 2

For 20 SEPT 2012

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Intraday trading strategy   Strategy performance report : On 18 SEPT 2012, Stock futures entered Not be able to take any position as strategy has not recommended any stock's future to go short as strategy needs at least one stock's future to go long and one to go short Net Strategy return(%): 0.0%  Absolute Strategy Return from 17 Jan 2012(%):21.64% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 ITC 29-Nov-12 - 2 BEL 27-Sep-12 - 3 HINDUNILVR 29-Nov-12 - 4 COLPAL 27-Sep-12 - 5 COLPAL 25-Oct-12 - B

For 18 SEPT 2012

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Intraday trading strategy   Strategy performance report : On 17 SEPT 2012, Stock futures entered GUJFLUORO-(25-10-2012)(Buy/Long) return(%): 0.45% SUZLON-(29-11-2012)(Short Sell) return(%): 1.21% Net Strategy return(%): 0.83%  Absolute Strategy Return from 17 Jan 2012(%):21.64% Please read entry or exit rules (mentioned in entry/exit rules page) first before doing anything and if you have any query or doubt then let me know through relevant comment. To know more about rules leave relevant comment.  Recommended Stock's future for intraday Trading Strategy Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 HDFC 25-Oct-12 - 2 GODREJIND 25-Oct-12 - 3 TATAMOTORS 25-Oct-12 - 4 TATAMOTORS 29-Nov-12 - 5 TATAPOWER 25-Oct-12 - Based On Stock Selection Criteria II Rank Buy/Long Expi