Thursday, May 28, 2009

From Now visit Tradesmartindia.blogspot.com

Dear All,
We are sorry that we were absent for almost a month kindly visit www.tradesmartindia.blogspot.com
For quality technical analysis and Trading strategies .


For trading calls subscription kindly send your request to abhaycfa10@yahoo.co.in.


Thanks & Regards
Abhhay Mehrootra

Monday, May 11, 2009

Market Outlook on Broder Basis

Dear All,
Today Nifty closes below crucial level of 3625 with large margin, Nifty can target 3480--3420 levels in coming days .High volatality is expected during intra day.

Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com

For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happy trading
your's zandu

Tuesday, April 28, 2009

Intra Day Report card

Dear All,
Our Intra day calls Report card for today is as follows.......We recommend to buy 100 shares per call .

1. (10:32:14): short sbi below 1280 target 1250, 1235 stoploss 1305 Target achived
Total Profit 1280-1235=45.............45*100=4500

2. (10:34:04): short sintex at 143 target 140, 135 stoploss at 148 Target Achived
Total profit 143-135=8...............8*100=800

3. (10:36:25): buy mind tree at 270 target 285, 295 stoploss at 255 Target achived
Total profit 295-270=25.................25*100=2500

4. (10:45:36): buy jindal stl at 1650 target 1685, 1700 stoploss at 1630 We booked at 1670
Total Profit 1670-1650=20............20*100=2000

5. (10:49:41): buy bob at 327 target 335, 340 stoploss at 319 We exit at par

6. (10:53:46): buy wipro at 319 target 330-335 stoploss at 310 We exit at par

7. (11:09:34): short rolta at 78.50 target 75, 72 stoploss at 82 First target achived
Total Profit 78.50-75= 3.50..................3.50*100=350

8. (11:12:14): short tisco at 250 target 245, 240 stoploss at 256 Target achived
Total profit 250-240=10..............10*100=1000

9. (11:13:30): short sterlite at 402 target 390,380 stoploss at 410 Target achived
Total profit 402-380=22...........22*100=2200

10. (11:17:35): short sail at 110 target 105 , 102 stoploss at 114 We exit sail at par but later on it hit target

11. (11:18:53): short suzlon at 62 target 60, 58 stoploss at 64 First target achived
Total Profit 62-60=2.............2*100=200

12. (11:28:37): short ongc at 834 target 825, 815 stoploss at 845 First target achived
Total profit 834-825=9..............9*100=900

13. (11:36:40): short punjab bank at 502 target 490, 475 stoploss at 512 Target achived
Total profit 502-475=27......................27*100=2700


14. (11:39:01): short bhel at 1645 target 1600 stoploss at 1665 Target achived
Total Profit 1645-1600=45..................45*100=4500

15. (11:40:36): short axis at 544 target 530, 515 stoploss at 550 We exit at par but later target achievd

16. (11:49:17): short yes bank at 77.50 target 75, 72 stoploss at 79.50 First Target achievd
Total Profit 77.50-75=2.50...............2.50*100=250

17. (11:55:07): short rel comm at 218 target 212, 205 stoploss at 225 We booked at 207
Total Profit 218-207=11........................11*100=1100

18. (12:03:44): short power grid at 93 target 90, 88 stoploss at 96 We exit at par but later it hit day low at 91.50

19. (12:06:59): short hdil at 145 target 142, 140 stoploss at 148 Target achived
Total Profit 145-140=5....................5*100=500

20. (12:29:10): short hdfc at 1745 target 1700 stoploss at 1765 Target achievd
Total Profit 1745-1700=45.................45*100=4500

21. (12:33:02): short rel at 680 target 650 stoploss at 695 We booked at 660
Total Profit 680-660=20.................20*100=2000

22. (13:03:49): short indcem at 120 target 118, 115 stoploss at 122.90 Target achived
Total Profit 120-115=5.......................5*100=500

23. (13:24:28): short nifty below 3390 target 3350 stoploss at 3415 Target achived
Total Profit 3390-3350=40.......................40*50=2000

Total profit from all calls

Sbi short call profit=4500
Sintex short call profit =800
Mindtree long call profit =2500
Jindal stl long call profit =2000
Bob at par=0
Wipro at par=0
Rolta Short call profit=350
Tisco short call profit =1000
Sterlite short call profit =2200
Sail at par
Suzlon short call profit=200
Ongc short call profit =900
Punjab bank short call profit =2700
Bhel short call profit =4500
Axis at par
Yes bank short call profit =250
Relcomm short call profit=1100
Power grid at par
Hdil short call profit=500
Hdfc short call profit=4500
Rel short call profit=2000
Indcem short call profit =500
Nifty short call profit=2000

Total profit from all calls =32500


Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com

For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happy trading
your's zandu

Thursday, April 23, 2009

Intra Day Report card !!!!!!!!!!!!!!!!!!!!!!!!!!!

Dear All,
Our Intra day calls Report card for today is as follows.......We recommend to buy 100 shares per call .


1. (10:55:26): buy dabur at 104 target 106, 110 stoploss at 101 First Target achived
Total Profit 106-104=2..............2*100

2. (10:59:08): buy rel comm at 220 target 225, 230 stoploss at 212 We booked at 224
Total profit 224-220=4...........4*100=400

3. (11:03:34): buy tvs at 28 target 32, 35 stoploss at 25 First target achived Total profit 32-28=4................4*100=400

4. (11:07:14): buy dcm at 17.70 target 19.50 stoploss at 16 we booked at 19 Total Profit 19-17.70=1.30..............1.30*100=130

5. (11:15:57): buy power grid at 97 target 100, 105 stoploss at 92 Firat target achived
Total profit 100-97=3.............3*100=300

6. (11:18:45): buy bhel at 1595 target 1630 stoploss at 1575 We booked at 1625
Total profit 1625-1595=30.............30*1000=3000

7. (11:25:42): high risk call buy sail at 108 target 111,115 stoploss at 105.50 Target achived
Total Profit 115-108=7................7*100=700

8. (11:28:30): buy punjab bank at 475 target 485, 495 stoploss at 460 Target achived
Total profit 495-475=20.........20*100=2000

9. (11:30:18): buy tulip it at 474 target 490, 500 stoploss at 460 We booked at 485
Total Profit 485-474=11...................11*100=1100

10. (11:32:12): buy l&t at 840 target 850, 865 stoploss at 828 Target achived
Total profit 865-840=25...............25*100=2500

11. (11:45:12): buy siemns at 304 target 310, 315 stoploss at 297 We booked at 308
Total Profit at 308-304=4.................4*100=400

12. (12:45:06): buy grasim at 1650 target 1680 , 1700 stoploss at 1615 Target achived
Total Profit 1700-1650=50............50*100=5000

13. (12:48:02): buy centuaty textil above 208.50 target 212, 215 stoploss at 203.50 Target achived , Total profit 215-208.50=6.50............6.50*100=650

Total profit from all calls

Dabur long call profit =200
Rel com long call profit=400
Tvs long call profit= 400
Dcm long call profit=130
Power grid long call profit=300
Bhel long call profit=3000
Sail long call profit=700
Punjab bank long call profit=2000
Tulip It long call profit =1100
L&T long call profit =2500
Siemens long call profit=400
Grasim long call profit=5000
Centuaty Textile long call profit =650


Total profit from all calls =16780



Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com

For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happy trading
your's zandu

Wednesday, April 22, 2009

Intra Day Report Card !!!!!!!!!!!!!!!!!!!

Dear All,

Our Intra day calls Report card for today is as follows.......We recommend to buy 100 shares per call .

1. (10:51:36): buy dlf at 244 target 250, 255 stoploss at 237 We exit at par
No profit no loss

2. (11:04:05): short sbi at 1270 target 1250, 1225 stoploss at 1288 Target achived
Total Profit 1270-1225=45.........45*100=4500

3.(11:08:14): short bhel at 1630 target 1600, 1580 stoploss at 1650 Target achived
Total Profit 1630-1580=50..........50*100=5000

4. (11:09:32): short simens at 305 target 295 stoploss at 312 Target achived
Total Profit 305-295=10...........10*100=1000

5. (11:29:41): high risk call short ril at 1726 target 1705 stoploss at 1745 Target achived
Total Profit 1726-1705= 21.......21*100=2100

6.11:34:15): short yes bank at 82 target 78, 75 stoploss at 86.50 first Target achived
Total Profit 82-78=4............4*100=400

7. (11:51:40): short maruti 767 target 750, 730 stoploss 778 First Target achived
Total Profit 767-750=17...........17*100= 1700

8. (12:04:49): Short idbi at 60 target 58, 56 stoploss at 62.90 First Target achievd
Total Profit 60-58=2...........2*100=200

9.(12:15:37): short rel comm at 220 target 210, 200 stoploss at 228 booked at 215
Total Profit 220-215=5.................5*100=500

10. (13:14:01): very high risk call short beml at 478 target 465 . 450 stoploss at 490 Firts Target achived , Total Profit 478-465=13..............13*100=1300


Total profit from all calls

Long Dlf no profit no loss =0
Sbi short call profit =4500
Bhel short call profit=5000
Siemns short call profi= 1000
Ril short call profit=2100
Yes Bank short call profit=400
Maruti short call profit =1700
Idbi short call profit = 200
Rel Com short call profit=500
Beml short call profit = 1300


Total profit from all calls = 16700



Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com

For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happy trading
your's zandu

Sunday, April 19, 2009

Market Outlook on broder basis

Dear All,
Though Nifty broken 3450 levels but it closes above it only for one day as we can observe that it is getting ristance at that levels, Now should we stay long or go short , zandu try to answer.

We recommend to go short at 3390 levels for target of 3250--3200 levels with stoploss placed at 3465 levels on closing basis .


Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com

For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happytrading
your's zandu

Wednesday, April 15, 2009

Market Outlook on broder basis

Dear All,
Today nifty broke 3450 levels , as said in previous post now we can see nifty moving toward target of 3600---3650 levels in days to come , buy on dips will be the strategy to follow as of now .


Zandu suggest try to use derivative strategies to trade highly volatile market, for any suggestion on trading strategies , derivative strategies and portfolio management kindly mail to me at equitytrader10@yahoo.in,equitychartguru@yahoo.co.in

For technical trading calls please visit ttp://www.equitychartguru.blogspot.com
For portfolio management advice please visit http://www.fundootechnicals.blogspot.com/

Thanks & happytrading
your's zandu