Mkt Outlook This Week 01-04-2008 >>
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Last 2 Week Outlook Bang on Target ....... Now 3rd Outlook
NIFTY Buy @ level of 4780 with SL 4750 Target @ 4875 to 4980 in April 2008.
You Can Short Below 4750 Stoplos 4780 For Target 4650 & 4607
We Recommended 4700 PUT Last week Double Today Carry with Stoploss 4760
Buy 5000 Call Again Above 4780 For 40% Gain Minimum
Stocks :- Intra+Swing
ONGC Buy Above 975 Stoploss 957 Target 1015 & 1030
TCS Buy Above 790 Stoploss 775 Target 830+
Suzlon Buy Above 251 Stoploss 243 Target 275
SAIL Buy Above 175 Stoploss 165 Target 190+
Investment Calls (Short Term)
IDBI Buy Above 80 SL 75 TGT 92-100
RNRL Buy Above 95 SL 88 TGT 110-115+
Book Partial Profits Always
Targets Are Indicative Only
Monday, March 31, 2008
Sunday, March 30, 2008
31-03-2008
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Buy Nifty around 4995 Stoploss 4975 Target 5045+
Stocks 4 Trading:-
BPCL Buy Arnd 437 Stoploss 427
RPL Buy Arnd 165 Stoploss 161
Cash Call
Indiabulls Fin Buy Above 472 Sl 464
Active Call & Puts
NIFTY APRIL CALL OF 5100 .PREMIUM IS INCREASED BY THE 40 %
NIFTY APRIL 4500/4900 Put
You can Buy 4700 Put @ 5050+ For Hedging Purpose Only
Buy Nifty around 4995 Stoploss 4975 Target 5045+
Stocks 4 Trading:-
BPCL Buy Arnd 437 Stoploss 427
RPL Buy Arnd 165 Stoploss 161
Cash Call
Indiabulls Fin Buy Above 472 Sl 464
Active Call & Puts
NIFTY APRIL CALL OF 5100 .PREMIUM IS INCREASED BY THE 40 %
NIFTY APRIL 4500/4900 Put
You can Buy 4700 Put @ 5050+ For Hedging Purpose Only
Friday, March 28, 2008
Outcome
2 Days Back I Updated April Mkt Outlook
http://www.orkut.com/CommMsgs.aspx?cmm=32497246&tid=2590986592404625234
Result
Call :- NIFTY:-
Buy Only Above 4910 sl 4880 tgt 4975 5050 & 5170.
Nifty TGT1 4975 Completed with 25 pt Premium
Call:-5000call suggested last week @ 55 made 135 High 300% Gain Still Best Buy Around 110-120 For 50-100% Gain
164 MADE 50% RETURN IN 2 DAYS
Call:-
F&O Picks (Intra+Swing)
Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
2330-2350 Achived
Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
1400+ Achived
Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
1025 Achived
Short Term Investment Pick
Patni Computer SL 197 Buy Above 205 TGT 230-240
ESSAR OIL SL 191 Buy Above 200 TGT 220-230
Investmet call ESSAR OIL 225 MADE
PATNI COMP 10% ALL TGT ACHIEVED
http://www.orkut.com/CommMsgs.aspx?cmm=
Result
Call :- NIFTY:-
Buy Only Above 4910 sl 4880 tgt 4975 5050 & 5170.
Nifty TGT1 4975 Completed with 25 pt Premium
Call:-5000call suggested last week @ 55 made 135 High 300% Gain Still Best Buy Around 110-120 For 50-100% Gain
164 MADE 50% RETURN IN 2 DAYS
Call:-
F&O Picks (Intra+Swing)
Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
2330-2350 Achived
Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
1400+ Achived
Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
1025 Achived
Short Term Investment Pick
Patni Computer SL 197 Buy Above 205 TGT 230-240
ESSAR OIL SL 191 Buy Above 200 TGT 220-230
Investmet call ESSAR OIL 225 MADE
PATNI COMP 10% ALL TGT ACHIEVED
Thursday, March 27, 2008
Performance
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Call:Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
Return:Reliance Capital TGT 1 Achived1330 Made
Call:Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
Retrn 960 Made
Call:Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
Return : 2302 closed expected to reach 2330 Tomorrow
Call:Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
Return:Reliance Capital TGT 1 Achived1330 Made
Call:Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
Retrn 960 Made
Call:Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
Return : 2302 closed expected to reach 2330 Tomorrow
Wednesday, March 26, 2008
Mkt Outlook ..April
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My Last Week Mkt Outlook All TGT Achieved IN SENSEX NIFTY & STOCKS
Now MKT Outlook For April....
Mantra:Buying is suggested in RED only... and its still a better strategy
Be A Fast Trader... with caution & Proper Stoploss
If Sensex may touch @ the level of 16404 Points, again then the upper side target is quite high and it may touch 17100 Points In APRIL - 2008.
NIFTY:-Buy Only Above 4910 sl 4880 tgt 4975 5050 & 5170.
5000call suggested last week @ 55 made 135 High 300% GainStill Best Buy Around 110-120 For 50-100% Gain
4700 Put Buy in "UPWARD PANIC" FOR Hedging
F&O Picks (Intra+Swing)
Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
Short Term Investment Pick
Patni Computer SL 197 Buy Above 205 TGT 230-240
ESSAR OIL SL 191 Buy Above 200 TGT 220-230
Book Partial Profits Always
Last week Investment Call GVK Power give 25% Return in 4 Days
My Last Week Mkt Outlook All TGT Achieved IN SENSEX NIFTY & STOCKS
Now MKT Outlook For April....
Mantra:Buying is suggested in RED only... and its still a better strategy
Be A Fast Trader... with caution & Proper Stoploss
If Sensex may touch @ the level of 16404 Points, again then the upper side target is quite high and it may touch 17100 Points In APRIL - 2008.
NIFTY:-Buy Only Above 4910 sl 4880 tgt 4975 5050 & 5170.
5000call suggested last week @ 55 made 135 High 300% GainStill Best Buy Around 110-120 For 50-100% Gain
4700 Put Buy in "UPWARD PANIC" FOR Hedging
F&O Picks (Intra+Swing)
Reliance Ind Long Stoploss 2230 Buy Arnd 2280 TGT1 2330 tgt2 2390-2410
Reliance Capital Stoploss 1220 Buy Arnd 1250 TGT1 1320 tgt2 1400+
Renuka Sugar Stoploss 915 Buy Arnd 930+ TGT 990-1020
Short Term Investment Pick
Patni Computer SL 197 Buy Above 205 TGT 230-240
ESSAR OIL SL 191 Buy Above 200 TGT 220-230
Book Partial Profits Always
Last week Investment Call GVK Power give 25% Return in 4 Days
Tuesday, March 25, 2008
26-03-2007
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Buy Nifty March around 4920 Stoploss 4905 Target 4955++
Nifty Alert : IF GLOBAL CUES ARE STRONG AND NIFTY DOES NOT BREAK 4855 Den We cn Buy Above 4905-4920 Range 4 TGT 5050 (Short term)
Stocks 4 Trading:-
Oriental Bank Buy Above 178 sl 175
L&T Above 3080 sl 3050
NTPC Above 202 sl 198
Buy Nifty March around 4920 Stoploss 4905 Target 4955++
Nifty Alert : IF GLOBAL CUES ARE STRONG AND NIFTY DOES NOT BREAK 4855 Den We cn Buy Above 4905-4920 Range 4 TGT 5050 (Short term)
Stocks 4 Trading:-
Oriental Bank Buy Above 178 sl 175
L&T Above 3080 sl 3050
NTPC Above 202 sl 198
Monday, March 24, 2008
25-03-2008
Buy Nifty March around 4650 Stoploss 4630 Target 4700-4720
Stocks4Trading:-
ICICI BANK ABOVE 804 SL 794
RELIANCE INDUSTRIES ABOVE 2210 SL 2190
NALCO STOPLOSS 465
Stocks4Trading:-
ICICI BANK ABOVE 804 SL 794
RELIANCE INDUSTRIES ABOVE 2210 SL 2190
NALCO STOPLOSS 465
Friday, March 21, 2008
24-03-2008 & Mkt Outlook
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Next week will be exciting for Markets.Ready for Roller Coaster Ride.Sensex may Touch 15450 & 14300 both.
Sensex Above 15450 cn touch 15700-16k Before March 2008.Bt For the time being TGT 1 is 15450
April Mkt Outlook:-
NIFTY MAY KISS 5175-5250 Mark in April
5000 Call April is good buying in Dips...4350-4000 Put is Good Buying in Rise .Play Straddle for Safe trading.
Buy APRIL NIFTY @ level of 4670 with SL 4646,Target @ 4730 to 4820 to 5170 in April 2008
Below 4650 You cn sell wid Stoploss 4670 Tgt is 4440-4370
better Buy Puts
F&O Picks:-(Intra+Swing)
CAIRN INDIA
Buy Above 214 Stoploss 205
HPCL Above 237 sl 227
SUZLON Above 222 sl 216
DLF Above 615 sl 590
Shortterm Investment
GVK POWER Above 31 sl 28 TGT 45-50
HMT Above 60 sl 55 TGT 70-75
Next week will be exciting for Markets.Ready for Roller Coaster Ride.Sensex may Touch 15450 & 14300 both.
Sensex Above 15450 cn touch 15700-16k Before March 2008.Bt For the time being TGT 1 is 15450
April Mkt Outlook:-
NIFTY MAY KISS 5175-5250 Mark in April
5000 Call April is good buying in Dips...4350-4000 Put is Good Buying in Rise .Play Straddle for Safe trading.
Buy APRIL NIFTY @ level of 4670 with SL 4646,Target @ 4730 to 4820 to 5170 in April 2008
Below 4650 You cn sell wid Stoploss 4670 Tgt is 4440-4370
better Buy Puts
F&O Picks:-(Intra+Swing)
CAIRN INDIA
Buy Above 214 Stoploss 205
HPCL Above 237 sl 227
SUZLON Above 222 sl 216
DLF Above 615 sl 590
Shortterm Investment
GVK POWER Above 31 sl 28 TGT 45-50
HMT Above 60 sl 55 TGT 70-75
Wednesday, March 19, 2008
DOW JONES
Over the past 2 month, Indian & Asian Mkts have been driven by the behaviour of Dow Jones and Nasdaq. Dow Jones has a very crucial support level at 12000 & 11800 and it is currently trading very close to those levels. The next few sessions would be very crucial for Global markets as if this crucial support level is broken or notThe last time, Dow touched 12000 was on 22nd January after which it rebounded quickly to higher levels. After yesterdays ROCKIN session, apparently investors are positive for a higher open as Morgan Stanley have beaten street expectations. Let’s wait and watch for next few session which will give us all important cues for next week trades.
Tuesday, March 18, 2008
19-03-2008
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Federal Reserve (America) has cut interest rates by .75 % .
This has cheered American markets and currently the Dow Jones is trading 401 points higher.Due to this today(i.e on 19 th March'08) the Indian markets may open higher by over 300 - 400 points.
Expected Gainers: ICICI BANK RELIANCE IND RELIANCE CAPITAL RENUKA SUGAR DLF HDFC AXIS BANK RELIANCE ENERGY & ALL LEADING STOCKS
DUE TO GAPUP I HARDLY SEE ANY CHANCE OF EARLY TRADE
BT WILL UPDATE FURTHER
Federal Reserve (America) has cut interest rates by .75 % .
This has cheered American markets and currently the Dow Jones is trading 401 points higher.Due to this today(i.e on 19 th March'08) the Indian markets may open higher by over 300 - 400 points.
Expected Gainers: ICICI BANK RELIANCE IND RELIANCE CAPITAL RENUKA SUGAR DLF HDFC AXIS BANK RELIANCE ENERGY & ALL LEADING STOCKS
DUE TO GAPUP I HARDLY SEE ANY CHANCE OF EARLY TRADE
BT WILL UPDATE FURTHER
Sunday, March 16, 2008
17-03-2008
Monday MKT May Open Gapdown & Can Test Last week low 15250.
Good Position Buildup In INDIAINFO HDIL EDUCOMP
Wait & Watch First Hr
Stoploss For Long 4700 & 4640
Good Position Buildup In INDIAINFO HDIL EDUCOMP
Wait & Watch First Hr
Stoploss For Long 4700 & 4640
17-03-2008
Monday MKT May Open Gapdown & Can Test Last week low 15250.
Good Position Buildup In INDIAINFO HDIL EDUCOMP
Wait & Watch First Hr
Stoploss For Long 4700 & 4640
Good Position Buildup In INDIAINFO HDIL EDUCOMP
Wait & Watch First Hr
Stoploss For Long 4700 & 4640
Tuesday, March 11, 2008
12-03-2008
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(8.30 PM)
With Dow and Nasdaq futures trading in the positive territory markets here have build up hopes that falling trend in the global markets might get arrested tonight. With a Fed rate cut global markets expected to stabilise.
DOWWWWWWWWWWWW 400++++ First Time in 5 Years
Stocks 4 Trading
Unitech Buy Around 285+ Stoploss 2%
BHEL Buy Above 2000 Stoploss 1980
EDUCOMP STOPLOSS 3350
Delivery Pick : AB BIRLA NUVO & ICICI BANK
(8.30 PM)
With Dow and Nasdaq futures trading in the positive territory markets here have build up hopes that falling trend in the global markets might get arrested tonight. With a Fed rate cut global markets expected to stabilise.
DOWWWWWWWWWWWW 400++++ First Time in 5 Years
Stocks 4 Trading
Unitech Buy Around 285+ Stoploss 2%
BHEL Buy Above 2000 Stoploss 1980
EDUCOMP STOPLOSS 3350
Delivery Pick : AB BIRLA NUVO & ICICI BANK
Monday, March 3, 2008
04-03-2008
04-03-2008
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Buy MiniNifty around 4905 Stoploss 4880 Target 4955+
Stocks 4 Trading:-
SUN PHARMA Buy Above 1270 Stoploss 1260
INFOSYS Buy Arnd 1475 Stoploss 1465
Cash Call :- Buy ZEEL Above 241 Stoploss 239
RNRL Above 128 Stoploss 124
Option Call : Reliance Capital 1800Call
TVS 50 Call
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