Monday, September 17, 2007
Trailing stops for earlier calls
Relcapital will shoot up if markets r good sl.1350 now
Titan raise ur stoploss to 1400.
Orchidchem please book ur profits
GDL raise ur stoploss to 132.
RNRL please hold with sl.49
Tatapower hold with sl.730
Sterlite hold with sl.615
Patelengg raise sl.to 436
Pantaloon raise sl.520
Ansalinfra sl.258
alok hold with sl.67
Saturday, September 15, 2007
STOCK IDEAS FOR 17 th SEP
B STERLITE IND CLOSE TO 630 SL.610
B PATEL ENGG AT CURRENT MARKET PRICE WITH SL.432
B PANTALOONR CLOSE TO 510 SL.496
B ANSALINFRA AT CURRENT MARKET PRICE STOP WILL BE TOLD LATER
B ALOXTEXT CLOSE TO 71 SL.67 ALL CASH LEVELS
Trailing stops for earlier calls 17th sep
Relcapital raise your sl.1320
Titan hold with sl.1385
Sbi please book ur profits
Orchidchem raise ur sl.215
Gdl sl.129.4
Hoteleela please book your profits
Balrampur please book
Rnrl hold sl.49
Thursday, September 13, 2007
Trailing stops for earlier calls 14th sep
Indiainfo raise your sl.723
Relcapital raise sl.1277
Titan raise sl.1385
Sbi raise sl.1638
Orchidchem raise sl.214
GDL sl.129.8
Hoteleela raise sl.45
Balrampur chini increase sl.64
RNRL raise sl.49
Renuka re-enter at 541 sl.536 it will again try to rebound to 567 levels
Monday, September 10, 2007
Trailing stops for earlier calls
Indiainfoline is heading towards its all time high hold with break even stoploss or 696.
Relcapital hold with sl.1220
Titan raise your sl.1330
Sbin again closed above our levels hold on this stock with closing stop.1620
Acc please book your profits
Century textile hold with sl.798
OrchidChem hold with sl.207
GDL hold stoploss to be told later
Hotel Leela hold with sl.43
Adlabs book ur profits and re-enter abv.508 for tgt 530+
Balrampur Chini hold with strict sl.60
Rnrl hold sl.46
Renuka hold sl.525 heading towards 560 and beyong that 582 levels
Sunday, September 9, 2007
DISCLAMIER
IMPORTANT
STOCK IDEAS FOR 10th SEP
ADLABS CAN BE BOUGHT AT 483 WITH SL.474
BALRAMPUR CHINI CAN BE BOUGHT WITH SL.60,TRY AND BUY CLOSE TO 62
RNRL BUY AT CURRENT LEVELS WITH SL.46
RENUKA CAN BE BOUGHT AT CURRENT LEVELS WITH STRICT SL.525 TGT 567,601,668.
BHARTI CAN BE SOLD WITH SL.848(FUT) TGT 820,775
Trailing stops for earlier calls 10th Sep
Arvindmill please book your profits
Jindalstel is not showing strength please exit with ur profits
Peninland please book ur profits if it falls below 502,re-enter peninland land at lower levels with sl.478
Indiainfo book your profits if it falls below 675
LITL book ur profits
Relcapital hold but book ur profits if it falls below 1220
Titan hold with sl.1305 book ur profits if it sustains below 1305
Sbin raise ur stoploss to 1615
Acc raise sl.1080
Axisbank book ur profits
Abb Book ur profits
Century hold with sl.800
Orchidchem hold with sl.207
Gdl hold stoploss will be told later
Wednesday, September 5, 2007
Stock Ideas for 6th Sep
GDL has given breakout sl.126.5
Trailing StopsFor earlier calls on 6 th sep
Arvind increase sl.50
Jindalstel Book ur profits
Peninland book ur position tgt almost done.
Indiainfo hold with strict sl.675
Kotakbank done exit.
Lanco increase sl.293
Relcapital sl.1205
Titan Raise sl.1260
Sbi sl.1578
Acc raise sl.1075
Axis Bank increase sl.643
Abb sl.1148
Century sl.780
Tuesday, September 4, 2007
Stock Ideas 5th sep
Century Textile can be bought with sl.780
L&T above 2640 can move to 2700+ levels very soon
Outlook on trailing calls 5th sep
Arvindmill hold with sl.48.5
Jindalstel hold with breakeven stoploss heading towards 4500
Finantech is slowing down book at 2620 or hold for tgt of 3000
Peninland can be booked at 530+
Indiainfo hold with sl.675 and book at higher levels
Kotakbank hold with sl.719
lanco hold with sl.288
Exit beml
Relcapital hold sl.1195
Bharti call expires does not get executed
titan raise sl.1240
Sbin raise sl.1590
Gmrinfra earlier call holds good
Acc raise sl.1065
Axisbank raise sl.632
Monday, September 3, 2007
outlook on earlier calls till now
Skumars is not showing strength please exit.
Arvindmill is showing phenomenal strength please continue to hols this stock for higher targets with break-even stoploss
Jindalstel has closed above 4010 and now is heading towards 4500
Finantech is heading towards 2650 then 3000+ hold with sl.2460
Peninland hold with sl.480 tgt 539.
Indiainfo increase your sl.675
hold kotakbank with earlier stoploss
hold lanco as per earlier calls
hold beml
hold relcapital
bharti earlier call holds good
titan stoploss now 1238
sbin earlier call holds good
gmrinfra earlier call holds good
acc earlier call holds good
Axisbank earlier call holds good
Friday, August 31, 2007
STOCK IDEAS 3RD SEPTEMBER
ACC SL.1045 TGT 1160
GMRINFRA SL.795 TGT 1000
SBIN SL.1560 TGT 1650,1725
TITAN SL.1205 TGT 1375
BHARTI ABV 890 TGT 960 SL.862
RELCAPTIAL SL.1150 TGT 1300
BEML SL.1182 TGT 1325
LANCO SL.280 TGT 400
KOTAKBANK ABV.721 TGT 900
Disclaimer: The recommendations provided would be purely on my personal opinion and doesnot reflect any fund house interest or my personal holdings. I would not be responsible for the loss in trades undertaken based on my recommendations.
TRALING STOPS FOR 31 AUG CALLS
SKUMARS HOLD SL.105 BUY AT 107
ARVIND HOLD SL.45.5 TGT 53
JINDALSTEL SL.3725 TGT 4010,4500
FINANTECH SL.2310 TGT 2505,2650
PENINLAND SL.478 TGT 538
INDIAINFO SL.630 TGT 717
Disclaimer: The recommendations provided would be purely on my personal opinion and doesnot reflect any fund house interest or my personal holdings. I would not be responsible for the loss in trades undertaken based on my recommendations.
Thursday, August 30, 2007
STOCK IDEAS 31 AUG
SKUMARS LOOKING GOOD FOR UP MOVE UPTO 116.KEEP A STRICT STOP AT 105 AND BUY AT DIPS TOWARDS 107
ARVINDMILL IS SEEING FANTASTIC ACCUMALATION AND CAN MOVE UP PHENOMENALLY BUY WITH A STOPLOSS OF 45.5 AND FINAL STOPLOSS OF 44.
JINDAL STEEL AND POWER IS PREGNANT FOR NEXT UPMOVE BUY WITH STOPLOSS OF 3725
BUY FINANCIAL TECHNOLOGIES ON DECLINES TOWARDS 2300 TO GO LONG.
PENINLAND ABV 481 CAN MOVE TO 537
BUY INDIA INFOLINE SL.629 TARGET 672,715 VERY SOON
Nifty Outlook 31 Aug
NIFTY HAS REGAINED LOST MOMENTUM AFTER A CONSIDERABLE CORRECTION.NOW MY SINPLE ADVICE TO U ALL IS THAT ANY DIP GO OUT AND BUY LONG POSITIONS IN NIFTY.TRADERS CAN BUY 4400,4500 & 4600 CALLS OF NIFTY UNDER ALL CIRCUMSTANCES OF PANIC.NIFTY HAS GIVEN A FANTASTIC BREAKOUT AT 4290 REGION.USE 4320 ON CLOSING BASIS AS YOUR STOP LOSS AND BUY NIFTY CALLS AND FUTURES AND HOLD PATIENTLY.
Tuesday, August 28, 2007
Stock Ideas
ITC can be bought at a dip keeping a stoploss at 160.
MTNL can be short sold with stoploss of 139.5 and a target of 129.5
DenaBank can be bought with stoploss of 54.
Arvind Mill is Strong buy ,Buy in sept Series with stoploss of 44 in cash.
Lanco Infra is looking great any dip towards 260 levels is a buy with strong support at 251.Buy with stoploss at those levels.
Nifty and market outlook for 29th Aug
Interesting correction data
DATE | Nifty Level | Rise/Fall | %age | Months | %age Correction |
Gain/Loss | Taken | of previous Rally | |||
28-04-2003 | 920 | ||||
14-01-2004 | 2015 | 1095 | 119 | 8.5 | |
17-05-2004 | 1292 | -723 | -36 | 4 | -66 |
04-01-2005 | 2120 | 828 | 64 | 8 | |
29-04-2005 | 1896 | -224 | -11 | 4 | -27 |
05-10-2005 | 2669 | 773 | 41 | 5 | |
28-10-2005 | 2307 | -362 | -14 | 1 | -47 |
11-05-2006 | 3774 | 1467 | 64 | 6.5 | |
14-06-2006 | 2595 | -1179 | -31 | 1 | -80 |
08-02-2007 | 4245 | 1650 | 64 | 8 | |
05-03-2007 | 3555 | -690 | -16 | 1 | -42 |
24-07-2007 | 4648 | 1093 | 31 | 4.5 | |
17-08-2007 | 4002 | -646 | -14 | 1 | -59 |
Above is the Data of Major Rise and Major Falls had by the Nifty during its
four year Bull Run since May 2003.
1. On three of the six occasion, Major corrections occurred after rallying 64%.
Once it corrected after rallying 41% and other time 31% while the very first
correction occurred after rallying 119%
2. On two occasions Nifty Fell 30% while on four occasions Nifty Fell 15%
3. Another interesting thing is that, in between every 30% fall there have been
two corrections of 15% each. Hence if we presume current correction to be over
at my target, then you know what to expect in next major correction if one
believes in this analysis.
4. Barring the first two corrections, other four corrections have been for 1 month only
Market Outlook
Stocks For investment Portfolio
1.Telecom:-
R-com buy around480-500 tgt 810-825
2.IT:-
TCS buy around 1000-1020 tgt 1400-1425
3.Oil & Gas:-
Reliance on every dip tgt 2700-2800
4.Media:-
SunTV at 300 tgt 450
Adlabs at 450-460 tgt 730-750
5.Hotels:-
Hotel Leela 40-41 tgt 65-68
Indian Hotels 120-124 tgt 180-185
6.Power Sector:-
REL at 720 tgt 1200
7.Banks:-
ICICI Bank 800-850 tgt 1200-1250
Kotak Bank 650 tgt 900
SBIN 1400 tgt 1800
8.Infrastructure:-
GMR Infra 750 tgt 1300
L&T 2200 tgt 3400
9.Metals:-
TataSteel 530-550 tgt 800-830
Sterlite Ind 530-550 tgt 900
10.Real Estate:-
Parsvnath 260-280 tgt 520
11.Autos:-
TataMotors 620-630 tgt 850-900
12.Pharma:-
Glenmark 600 tgt 920
13.FMCG:-
ITC 155-160 tgt 225-230
Sunday, June 24, 2007
Investment Call
Kothari Food Products - Mfg Of Pan Parag is a great investment bet
25 th June
Buy HDFC above 1895 or on declines towards 1830 for target 1975 and 2200.