Showing posts with label Stock Market Tips. Show all posts
Showing posts with label Stock Market Tips. Show all posts

Sunday, August 10, 2008

Track the following stocks

Bullish: ABB, ACC, BHARTIARTL, BHEL, HDFCBANK, MARUTI, TATACHEM, SUNPHARMA, SBIN, INFOSYSTCH
Bearish: TATASTEEL, STER, RPL, RELIANCE, RCOM, RANBAXY, PATNI, NAGARCONST, INDHOTEL, IDFC.

Saturday, March 1, 2008

Trade on 3rd March'2008

NIITLTD: First assess overall market situation. If market environment is negatively biased, then go bearish. If it closes below 117.00 or trades below 116.00, go short with stoploss 126.25 and profit target 109.5, 106.5 & 103. Alternately, go short as it approaches 126 ( Bollinger Band, 20,2) with stoploss 132.25 (nearer swing high) and profit target 121.5, 118, 113 & 110.
If market shows strength, if NIITLTD closes above 124, go long with stoploss 116.90 and profit target 131.5, 136.
ESSAROIL: If market aligns with global cue and take deep plunge, then observe this stock. Go long as it approaches 233, with stoploss 219.95 and profit target 265, 284& 305.

Thursday, February 28, 2008

Trade on Budget Day'2008

INDIACEM: Go short if it breaks 211 with stoploss 218.10 and profit target 208, 205 & 198.25. Alternately, go long if it trades above 217.5 with stoploss 210.85 and profit target 224.5, 229 & 233.

INFOSYSTCH: Go short if it breaks 1589 with stoploss 1605 and profit target 1572, 1553 & 1532. Alternately, if it trades above 1605, go long with stoploss 1589 and profit target 1632, 1648, 1662 & 1680.

Wednesday, February 27, 2008

Trade on 28th February'2008

HINDUNILVR: Go short if it trades below 220 with stoploss 225.10 and profit target 215.50, 213.50 & 210.50. If trade breaks above 225, go long with stoploss 219.85 and profit target 235.

ITC: Go short if it trades below 200 with stoploss 204.10 and profit target 195, 191 & 188.

INDIACEM: Go long as close as 198.5 with stoploss 195.85 with profit target 204, 208 & 211.

AIAENG: Observe this stock for long entry with stoploss 1595 and profit target 1700, 1750 & 1795.

Saturday, February 23, 2008

Trade on 25th February'2008

HINDUNILVR: Go long if it trades with positive bias with stoploss 212.95 and profit target 220, 224 & 230. For position tarding final stoploss 206.90.

ITC: Go long if it trades above 200 with stoploss 198.45 and profit target 205, 210 & 213.

INFOSYSTCH-1M-Fut: Go long if it trades above 1605 with stoploss 1574.75 and profit target 1635, 1662 & 1680.

SIEMENS: Go long if it goes above 1580 with stoploss 1539.85 and profit target 1638, 1675 & 1725.

Monday, February 11, 2008

Follow the stocks on 12th Feb'08

IOC: If market shows positive bias, go long with IOC with final stoploss 448.9 and profit target 520, 540 & 570.
INDCEM: If market showing no turnaround, go short with INDCEM with stoploss 201.55 and profit target 175, 164 & 152.

Thursday, January 31, 2008

Trade on 1st February'08

JPASSOCIATES: If it crosses 367, go long with stoploss 346.95 and profit target 373, 387 & 395.
INFOSYSTCH: If it crosses 1539, go long with stoploss 1469.75 and profit target 1554, 1607, 1653 & 1702.

Sunday, January 27, 2008

Trade on 28th January'08

INFOSYSTCH: If it trades below 1529, go short with stoploss 1540.10 and profit target 1490, 1455 & 1435. Otherwise, go long with stoploss 1495 and profit target 1548, 1575 & 1597. Final stop loss for long position trader 1429.25.
RPL: If it trades above 170, go long with stoploss 165.25 and profit target 177, 183 & 190. But, if it trades below 169, go short with stoploss 175.05 and profit target 165.5, 160 & 156. Final stoploss for long position trader 155.45.

Thursday, January 24, 2008

Trade on 25th January'08

RPL: Go short if it stays below 166.00 with stoploss 171.15 and profit target 160.1, 155.25, 152.25 & 147.80. Go long if it trades above 166.25 with stoploss 158.95 and profit target 170.25, 177 & 182. Final stoploss for position trading 155.45.

INFOSYSTCH: Go long if it trades above 1425 with stoploss 1409.90 and profit target 1453, 1462, 1481 & 1502. Go short if it trades below 1410 with stoploss 1426.25 and profit target 1397, 1372 & 1354. Final stoploss for position trading 1394.45.

Wednesday, January 23, 2008

Trade on 24th January'08

RPL : Go long with stoploss 162.65 and profit target 177, 189 & 198. Go short with stoploss 180 and profit target 164, 154 & 147. For position trading, final stoploss 151.85

INFOSYSTCH: Go long with stoploss 1397 and profit target 1455, 1485, 1497 & 1523. Go short with stoploss 1460.25 and profit target 1398, 1375 & 1350. For position trading, final stoploss 1371.25

Saturday, January 5, 2008

Action for 7th January'08

SBIN : If it trades below 2341, go short with stoploss 2405 and profit target 2241.
SBIN-1M-FUT: Go short if it breaks 2361 with stoploss 2413 and profit target 2265.

Sunday, December 16, 2007

Track the following scrips on 17th Dec'2007

  1. AXISBANK : Go long with stoploss 969.90.
  2. ARVINDMILL : Go long with stoploss 73.95.
  3. SBIN : If it stays below 2400, go short with stoploss 2420 / 2476.
  4. KANORICHEM : Go long with stoploss 125.85.
  5. GUJALKALI : Go long with stoploss 199.95.
  6. INFOSYSTCH-1M Future : If goes below 1650, go short with stoploss 1680, otherwise go long with stoploss 1643.85.

Sunday, December 9, 2007

Track the following scrips on 10th Dec'2007

  1. Go long with 21ST CEN.MGM (BSE Code: 526921) with stoploss 49.95 and set profit target 63, 65 & 76
  2. Observe CENTBOP & UTVSOF as they have made breakout of late. May go for momentum trading with thin stoploss.

Wednesday, December 5, 2007

Track Infy, Patel Engg etc on 06th Dec'07

INFOSYSTCH-1M Future : Go long as long as it stays above 1615. Keep stoploss 1603. Set profit target 1650, 1673, 1697 & 1724.

PATELENG : Go long if it stays above 805. Keep stoploss 793 and set target 825, 845 and 870.

TRIVENI : Go long with stoploss 139.75. Set profit target 150.75, 155, 158 & 163.

Thursday, November 22, 2007

Action for 23rd November'07

RNRL : Go long as long it stays above 145. Maintain stoploss 138.90. Profit target 154.25, 177.

TRIVENI : If it goes above 129, go long with stop 122.90. Profit target 135, 141, 147
Go short if it stays below 128, keep stoploss 132.10, set profit target 123, 119, 112.
PATELENG : Go long with stoploss 730. Set profit target 755, 765, 785
INFOSYSTCH: Go short as long it stays below 1550 with stoploss 1561. Profit target 1528, 1520.

Wednesday, November 21, 2007

Action for 22nd November'07

TRIVENI : Go short if it stays below 132 ; with stoploss 135.10 and set profit target 117.

PATELENG: Go short if it stays under 775. Keep stoploss 795. Set profit target 730.

INFOSYSTCH : Go short if it stays below 1557. Keep stoploss 1575. Set profit target 1527.

Thursday, November 8, 2007

Action for 8th November'2007

SCRIP POSITION ENTRY TARGET 1 TARGET 2 TARGET 3 STOPLOSS
NIFTY-1M - FO : Buy > 5705 5786 5806 5826 5694
HUL - 1M - FO : Short <200 192.25 190.5 185 205
INFOSYSTCH : Buy >1700 1749 1784 1798 1695

Monday, November 5, 2007

Action for 6th November'2007

TRIVENI : If it trades above 132.35, go long with stoploss 129.85 and set profit target 136, 137.80 and 142 for trading intraday. Do position trading, if it goes above 138.5 with stoploss 123.85 and profit target 146, 149.25 and 156.
But, if it trades below 130.75, take short position with stoploss 132.55 and set profit target 128, 125.25 and 120.45.
INFOSYSTCH - 1M - FUTURE : As long it trades above 1850, go long with stoploss 1824.75 and profit target around 1875, 1891 and 1919.
But, if it trades with negative bias and below 1849, go short with stoploss 1862.25 and profit target 1837, 1827 and 1808.

Monday, October 22, 2007

Action for 23rd October'2007

TRIVENI : Go long with TRIVENI as long as it stays above 107 with stoploss 105.95 and set profit target 114.95, 118.95, 121.2 and 124.5. If it opens with negative bias i.e < 113.8, go short immediately with stoploss 115.10, set profit target 110.25, 108.10, 105.20 and 103.50.

INFOSYSTCH - I M FUTURE : As long as it stays below 1879.75, go short with stoploss 1890.05 and set profit target 1865.75, 1858.15, 1841.25 and 1834. But, if it trades with positive bias i.e above 1887.15, go long with stoploss 1864.25 and set profit target 1898, 1908.75, 1919.15 and 1929.85.

In both of the above cases, instead of booking profit at last target, position may be carried forward for next days.

Saturday, October 13, 2007

Action for 15th October'07

POSITION TRADING

ANSALINFRA : First confirm market environvent with negative bias. Then go short if it trades below 274 with stoploss 280.10. Set 1st profit target 267.9. Optimise profit with placement of suitable stoploss.

MOMENTUM TRADING

HTMTGLOBAL : If it trades above 510 for some time, go long with stoploss 504.95. Set 1st profit target 516.5. If trade goes above 517, then take position with stop loss 499.25 with profit target 534.25.
INTRADAY TRADING
INFOSYSTCH : If it does not go above 1938, go short with stoploss 1950.15. Set profit target 1915, 1908, 1899. If it goes below 1900, go for position trading with profit target 1853.