For 16 MAY 2012
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 | AXISBANK | 31-May-12 | ORCHIDCHEM | 31-May-12 |
5 | BANKINDIA | 31-May-12 | COALINDIA | 31-May-12 |
Based On Stock Selection Criteria II | ||||
Rank | Buy/Long | Expiry Date | Short | Expiry Date |
1 | ICICIBANK | 31-May-12 | ONGC | 31-May-12 |
2 | INFY | 31-May-12 | PANTALOONR | 31-May-12 |
3 | PUNJLLOYD | 31-May-12 | NTPC | 31-May-12 |
4 | RELIANCE | 31-May-12 | BHARTIARTL | 31-May-12 |
5 | ABAN | 31-May-12 | MARUTI | 31-May-12 |
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