For 21 Mar 2012


On 20 Mar 2012, Stock's future entered
ACC-(29-03-2012)(Buy/Long) return(%): 3.93%
CAIRN-(29-03-2012)(Buy/Long) return(%): 0.78%
GUJFLORO-(29-03-2012)(Short Sell) return(%): 0.81%
ICICIBANK-(29-03-2012)(Short Sell) return(%): -0.12%

Net Strategy return(%): 1.35%
Absolute Strategy Return from 17Jan2012(%):20.64%

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 PUNJLLOYD 26-Apr-12 TATAMTRDVR 26-Apr-12
2 GMRINFRA 26-Apr-12 HINDALCO 26-Apr-12
3 UNIONBANK 29-Mar-12 RELINFRA 26-Apr-12
4 YESBANK 29-Mar-12 LT 26-Apr-12
5 OFSS 29-Mar-12 TATAMOTORS 26-Apr-12
         
Based On Stock Selection Criteria II
Rank Buy/Long Expiry Date Short Expiry Date
1 CAIRN 29-Mar-12 TATAMTRDVR 29-Mar-12
2 PUNJLLOYD 29-Mar-12 PANTALOONR 29-Mar-12
3 FEDERALBNK 29-Mar-12 LT 29-Mar-12
4 ABAN 29-Mar-12 TATAMOTORS 29-Mar-12
5 JSWENERGY 29-Mar-12 RAYMOND 29-Mar-12

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