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Showing posts from May, 2012

For 31 MAY 2012

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On 30 MAY 2012, Stock's future entered STRTECH-(31-05-2012)(Buy/Long) return(%):-5.16% SUNTV-(28-06-2012)(Short Sell) return(%):1.93% SUNTV-(31-05-2012)(Short Sell) return(%):1.87% Net Strategy return(%): -0.45% Absolute Strategy Return from 17Jan2012(%):17.65% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Thursday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 ARVIND 28-Jun-12 - 2 - - 3 - - 4 - - 5 - - - Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry Date 1 - OFSS 31-May-12 2

For 30 MAY 2012

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On 29 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.10% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Wednesday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 SUZLON 28-Jun-12 JINDALSAW 28-Jun-12 2 SUNTV 28-Jun-12 3 LICHSGFIN 28-Jun-12 4 - BHARATFORG 28-Jun-12 5 - Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry Date

For 29 MAY 2012

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On 28 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.10% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Tuesday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 ABAN 28-Jun-12 MCLEODRUSS 28-Jun-12 2 ZEEL 28-Jun-12 3 4 - 5 - Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry Date 1 MRF 31-May-12 BRFL 31-May-12

For 28 MAY 2012

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On 25 MAY 2012, Stock's future entered JSWSTEEL-(28-06-2012)(Buy/Long) return(%):1.67% UNITECH-(31-05-2012)(Buy/Long) return(%):-0.46% JPASSOCIATE-(31-05-2012)(Short Sell) return(%):-1.73% CAIRN-(31-05-2012)(Short Sell) return(%):-2.45% Net Strategy return(%): -0.74% Absolute Strategy Return from 17Jan2012(%):18.10% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Monday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 - INFY 28-Jun-12 2 - AXISBANK 28-Jun-12 3 - - 4 - - 5 - - Based On Stock Selection Criteria II Rank Buy/Long Expiry Date

Weekly View:For 28 May 2012, Mon-2 June 2012, Sat

S&P CNX NIFTY future(4927.90): Resistance:5008 / 5105 / 5176 Support:4846 / 4778-4752 / 4693 Our view: As of now it seems that the NIFTY may fall to test Support near 4846 level and, if this support holds, then may bounce back towards 5105 level. Over all: This week the NIFTY has crucial support near 4846 level and a significant break below which (not expected) may target 4693 after finding some support within the band between 4778-4752 levels. However, on the upside,the NIFTY has resistance near 5008 level and a siginficant break out above which (expected) may take the NIFTY to test resistance near 5105 level.This rise may continue towards 5176 level, if momentum builds USDINR Future(55.417): Resistance:55.772 / 56.052 / 56.678 Support:55.367-55.247 / 54.258 / 53.625 Our View: As of now it seems that the pair may see a fall towards 54.258 if breaks significantly below 55.247 as the band between 55.367-55.247 is a very crucial Support. Over all: This week US

Performance Charts-Updated Every Week

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From 17 Jan 2012-Till date Daily Average Return(%):0.21%      Weekly Average Return(%):0.95% Monthly Average Return(%):5.04% Absolute Strategy Return(%):18.10%

For 25 MAY 2012

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On 24 MAY 2012, Stock's future entered HINDUNILVR-(28-06-2012)(Buy/Long) return(%):0.15% TATAMTRDVR-(31-05-2012)(Buy/Long) return(%):1.68% INDUSINDBANK-(31-05-2012)(Short Sell) return(%):-0.98% SUZLON-(31-05-2012)(Short Sell) return(%):0.71% Net Strategy return(%): 0.39% Absolute Strategy Return from 17Jan2012(%):18.84% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Friday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 JSWSTEEL 28-Jun-12 JETAIRWAYS 31-May-12 2 SAIL 28-Jun-12 CAIRN 28-Jun-12 3 BHARTIARTL 28-Jun-12 EDUCOMP 31-May-12 4 LT 28-Jun-12 JPASSOCIAT 31-May-12 5 BAJAJ-AUTO

For 24 MAY 2012

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On 23 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.45%(Corrected) Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Thursday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 HINDUNILVR 28-Jun-12 INDUSINDBK 31-May-12 2 TATAGLOBAL 31-May-12 IDEA 31-May-12 3 IDFC 31-May-12 ABAN 31-May-12 4 RELCAPITAL 31-May-12 HDFC 31-May-12 5 DIVISLAB 31-May-12 AMBUJACEM 31-May-12 Based On

For 23 MAY 2012

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On 22 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.34% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Monday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 TCS 31-May-12 ALBK 31-May-12 2 - SBIN 31-May-12 3 - ICICIBANK 28-Jun-12 4 - SBIN 28-Jun-12 5 - INDUSINDBK 31-May-12 Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry

For 22 MAY 2012

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On 21 MAY 2012, Stock's future entered HDIL-(31-05-2012)(Buy/Long) return(%):1.92% GRASIM-(31-05-2012)(Buy/Long) return(%):1.49% MARUTI-(31-05-2012)(Short Sell) return(%):-2.59% HEROMOTOCOP-(31-05-2012)(Short Sell) return(%):-0.27% Net Strategy return(%): 0.13% Absolute Strategy Return from 17Jan2012(%):18.45% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Tuesday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 TATAMOTORS 28-Jun-12 INFY 31-May-12 2 PANTALOONR 31-May-12 SESAGOA 31-May-12 3 TATAMOTORS 31-May-12 WIPRO 31-May-12 4 IRB 31-May-12 JUBLFOOD 31-May-12 5 JPASSOCIAT 31-May-12

For 21 MAY 2012

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On 18 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.34% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Monday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 MRF 31-May-12 MARUTI 31-May-12 2 TATAPOWER 31-May-12 JSWSTEEL 31-May-12 3 WELCORP 31-May-12 BHEL 31-May-12 4 HDIL 31-May-12 COALINDIA 31-May-12 5 ORCHIDCHEM 31-May-12 - Based On Stock Selection Criteria II

Weekly View:For 21 May 2012, Mon-26 May 2012, Sat

S&P CNX NIFTY Future (4905.00): Resistance: 4952 / 5052-5083 / 5155-5175 / 5225 Support: 4853 / 4769 / 4681 / 4635 Our View: As of now it seems that the pair may fall in the first half of week toward 4769 level and then bounce back towards 4952 level. Over all: This week the NIFTY has mild support near 4853 level, a significant break below this support (as expected) may target 4769 level. Further extension of fall(not expected) may take the NIFTY towards 4681 level. However, on the upside, the pair has good resistance near 4952 level, a significant breakout above this level may rise to test resistance within the band between 5052-5083. The resistance within this band seems very crucial and if the NIFTY breaks above this then the NIFTY may give bull run towards the resistance band  between 5155-5175. USDINR Future(54.540): Resistance: 54.936 / 55.277 / 55.882 Support: 54.337 / 53.624 / 53.269 Our View: As of now it seems that the pair may rise to test Resistance

Performance Charts-Updated Every Week

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From 17 Jan 2012-Till date Daily Average Return(%):0.23%      Weekly Average Return(%):1.018% Monthly Average Return(%):5.04% Absolute Strategy Return(%):18.32%

For 18 MAY 2012

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On 17 MAY 2012, Stock's future entered ASAINPAINT-(31-05-2012)(Buy/Long) return(%):-1.41% UNITECH-(31-05-2012)(Buy/Long) return(%):-0.23% DISHTV-(31-05-2012)(Short Sell) return(%):-8.03% ORCHIDCHEM-(31-05-2012)(Short Sell) return(%):2.20% Net Strategy return(%): -1.87% Absolute Strategy Return from 17Jan2012(%):18.32% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Friday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 SAIL 31-May-12 AXISBANK 28-Jun-12 2 CAIRN 31-May-12 BHEL 31-May-12 3 SBIN 28-Jun-12 SESAGOA 31-May-12 4 AMBUJACEM 31-May-12 TATAPOWER 31-May-12 5 SBIN 31-May-12 HCL

For 17 MAY 2012

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On 16 MAY 2012, Stock's future entered SUZLON-(31-05-2012)(Buy/Long) return(%):-2.35% ICICIBANK-(31-05-2012)(Buy/Long) return(%):-0.89% HINDPETRO-(31-05-2012)(Short Sell) return(%):-0.57% Net Strategy return(%): -1.27% Absolute Strategy Return from 17Jan2012(%):20.19% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Thursday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 ASIANPAINT 31-May-12 DISHTV 31-May-12 2 CAIRN 31-May-12 RECLTD 31-May-12 3 JUBLFOOD 31-May-12 SAIL 31-May-12 4 KOTAKBANK 31-May-12 COALINDIA 31-May-12 5 ULTRACEMCO 31-May-12 YESBANK 31-May-12

For 16 MAY 2012

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We are extremely sorry for not publishing our strategy recommendations on 14 May 2012 and 15 May 2012 due to some unavoidable reasons. On 11 MAY 2012, Stock's future entered TCS-(31-05-2012)(Buy/Long) return(%):1.1% CAIRN-(31-05-2012)(Buy/Long) return(%):-0.19% NTPC-(31-05-2012)(Short Sell) return(%):1.4% Net Strategy return(%): 0.81% Absolute Strategy Return from 17Jan2012(%):21.39% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Wednesday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 SUZLON 31-May-12 IBREALEST 31-May-12 2 SBIN 31-May-12 RECLTD 31-May-12 3 SBIN 28-Jun-12 HINDPETRO 31-May-12 4 AXISBAN

Weekly View:For 14 May 2012, Mon-19 May 2012, Sat

S&P CNX NIFTY Future(4929.00): Resistance: 4970 / 5018 / 5071 / 5125-5140 Support: 4852 / 4788 / 4726 / 4683 Our View : As of now it seems that the NIFTY may fall to test Support near 4852 level and then bounce back towards 5071 level in coming week. Over All : This week the NIFTY has crucial Support near 4852 level. If this Support holds then the NIFTY may rise towards 5071 level after finding some Resistance near 4970 level and 5018 level.Further rise above 5071 level depends on upside momentum which could take the NIFTY towards Resistance band within 5125-5140 levels. However, On the downside, A significant break out below Support near 4852 level (least expected) may target 4726 after taking a pause near 4788 level. USDINR Future (53.800): Resistance: 53.843 / 54.174 / 54.448  Support: 53.210 / 52.936 / 52.626 Our View : As of now it seems that USDINR may find good Resistance near 53.843 level this week and then may fall to test support near 52.936 level. Ove

Performance Charts-Updated Every Week

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From 17 Jan 2012-Till date Daily Average Return(%):0.27%      Weekly Average Return(%):1.25% Monthly Average Return(%):5.04% Absolute Strategy Return(%):21.39%

For 11 MAY 2012

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On 10 MAY 2012, Stock's future entered ASIANPAINT-(31-05-2012)(Buy/Long) return(%):-0.94% JUBLFOOD-(31-05-2012)(Buy/Long) return(%):2.88% HCLTECH-(31-05-2012)(Short Sell) return(%):0.94% RPOWER-(31-05-2012)(Short Sell) return(%):0.05% Net Strategy return(%): 0.73% Absolute Strategy Return from 17Jan2012(%):20.58% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Friday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 TCS 31-May-12 HDIL 31-May-12 2 KOTAKBANK 31-May-12 STER 31-May-12 3 YESBANK 31-May-12 TATAMTRDVR 31-May-12 4 DLF 31-May-12 COALINDIA 31-May-12 5 BPCL 31-May-12 MCDOWELL

For 10 MAY 2012

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On 9 MAY 2012, Stock's future entered ASIANPAINT-(31-05-2012)(Buy/Long) return(%):1.79% HINDALCO-(31-05-2012)(Buy/Long) return(%):2.35% HINDPETRO-(31-05-2012)(Short Sell) return(%):0.67% Net Strategy return(%): 1.60% Absolute Strategy Return from 17Jan2012(%):19.85% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Thursday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 TCS 31-May-12 JUBLFOOD 31-May-12 2 ASIANPAINT 31-May-12 IDBI 31-May-12 3 BPCL 31-May-12 CIPLA 31-May-12 4 HINDUNILVR 31-May-12 TATAMTRDVR 31-May-12 5 RANBAXY 31-May-12 HDIL 31-May-12 Based

For 9 MAY 2012

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On 8 MAY 2012, Stock's future entered LT-(31-05-2012)(Buy/Long) return(%):-3.50% MCDOWELL-N-(31-05-2012)(Short Sell) return(%):3.70% Net Strategy return(%): 0.09% Absolute Strategy Return from 17Jan2012(%):18.24% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Wednesday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 ASIANPAINT 31-May-12 BHEL 31-May-12 2 COALINDIA 31-May-12 RCOM 31-May-12 3 - RPOWER 31-May-12 4 - ACC 31-May-12 5 - AMBUJACEM 31-May-12 Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry Date

For 8 MAY 2012

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On 7 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.14% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Monday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 AMBUJACEM 31-May-12 MCDOWELL-N 31-May-12 2 SBIN 31-May-12 IVRCLINFRA 31-May-12 3 AXISBANK 31-May-12 TCS 31-May-12 4 TATASTEEL 31-May-12 - 5 RCOM 31-May-12 - Based On Stock Selection Criteria II Rank Bu

For 7 MAY 2012

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On 4 May 2012, Stock's future entered Not be able to take any position as strategy needs at least two stock's future, one to go long and another one to go short. Net Strategy return(%): 0.00%  Absolute Strategy Return from 17Jan2012(%):18.14% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Monday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 RUCHISOYA 31-May-12 BAJAJ-AUTO 31-May-12 2 - TATAMTRDVR 31-May-12 3 - IRB 31-May-12 4 - BANKBARODA 31-May-12 5 - JPASSOCIAT 31-May-12 Based On Stock Selection Criteria II Rank Buy/Long Expiry Date

Weekly View:For 7 May 2012, Mon-12 May 2012, Sat

S&P CNX NIFTY Future(5091.00) Resistance: 5289-5272 / 5209 / 5160-5150 Support: 5072 / 5004 / 4964 / 4911 Our view : As of now it seems that the pair may fall to see 4911 after finding interim Support near 5004 level. Over all : In coming week, NIFTY has good Support near 5072 and a significant break out below which may take the NIFTY to test 5004 level, a crucial Support level. Further fall below 5004 level within this week seems less probable but if then may see 4911 after taking a pause near 4964 level, On the upside, the NIFTY has good Resistance within the band between 5150-5160 followed by another Resistance near 5209, a break out above 5209 level (not expected) may target 5272-5289. USDINR Future(53.780) Resistance:  53.796 / 54.056 Support: 53.559 / 52.865 / 52.616 Our View : As of now it seems that the USDINR may rise to see 54.056 follwed by a fall towards 52.865 level. Over all : The Pair has Resistance near 53,796, a break out above may take the air towards 54.056. Ho

Performance Charts-Updated Every Week

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From 17 Jan 2012-Till date Daily Average Return(%):0.25%      Weekly Average Return(%):1.13% Monthly Average Return(%):5.04% Absolute Strategy Return(%):18.14%  

For 4 MAY 2012

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On 3 MAY 2012, Stock's future entered RCOM-(31-05-2012)(Buy/Long) return(%):-1.76% PANTALOONR-(31-05-2012)(Short Sell) return(%):-0.16% Net Strategy return(%): -0.96% Absolute Strategy Return from 17Jan2012(%):18.14% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Friday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 RCOM 31-May-12 TATAMTRDVR 31-May-12 2 BHEL 31-May-12 IDFC 31-May-12 3 - HDIL 31-May-12 4 - RPOWER 31-May-12 5 - PFC 31-May-12 Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry Date 1 INF

For 3 MAY 2012

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On 2 MAY 2012, Stock's future entered TATAMOTORS-(31-05-2012)(Buy/Long) return(%):-3.62% AXISBANK-(31-05-2012)(Short Sell) return(%):1.49% Net Strategy return(%): -1.06% Absolute Strategy Return from 17Jan2012(%):19.10% Please read entry/exit strategy (mentioned on the right side of the blog) first before doing anything and if you have any query/doubt then let me know through relevant comment. To know more about strategy leave relevant comment. Stock's future to go Long/Short on Thursday are mentioned below: Based On Stock Selection Criteria I Rank Buy/Long Expiry Date Short Expiry Date 1 MCDOWELL-N 31-May-12 PANTALOONR 31-May-12 2 RCOM 31-May-12 COALINDIA 31-May-12 3 - BHEL 31-May-12 4 - HDIL 31-May-12 5 - RELINFRA 31-May-12 Based On Stock Selection Criteria II Rank Buy/Long Expiry Date Short Expiry