Update & Profit Loss Calculation

Target (2060) in Hero has been achieved on 22 March.

Traget (of 398) in CIPLA has been achieved on 22 as wll as yesterday (24 march), high made 402.00

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Lets Calculate all Profit & Loss of the Calls given on 18 March 2014.

 

CIPLA: LONG: 389, Exit : 398, Profit= 9 X 500 = +4500/- (POINTS * FUTURE LOT= PROFIT)

TATASTEEL: LONG: 344, EXIT : 360, Profit= 16 X 1000 = +16000/- (POINTS *FUTURE  LOT= PROFIT)

SSLTLONG:175, EXIT@ 178, Profit= + 3 X 2000= +6000/- (POINTS * FUTURE LOT= PROFIT)

MCDOWELLLONG:2500, EXIT: 2600, Profit= 100 X 125= +12500/- (POINTS * FUTURE LOT= PROFIT)

TATAMOTORSLONG:391, EXIT: 383, Loss= 8 X 1000= -8000/- (POINTS * FUTURE LOT= PROFIT)

M&M :SHORT:1030, EXIT: 970, Profit= 60 X 250= +15000/- (POINTS * FUTURE LOT= PROFIT)

HERO: SHORT: 2150, Exit: 2060, Profit=90 X 125= +11250/- (POINTS * FUTURE LOT= PROFIT)

* SUNTV  SHORT CALL EXPIRED AS ENTRY NOT INITIATED.

 

* T & C Apply

* Update of trading calls without Hedge position has been posted above.There is too much difference in Profit/Loss amount for hedging position.

*you can verify our trading calls with time frame (entry & exit), check post of 18 march 2014,on which we posted those trading calls.

* All calls are of future segment.

update of positional calls

Our Target in MCDOWELL has been achieved yesterday (2600), today high made 2695.

Hero is trading near target (2060), cmp : 2081

cipla is trading positive yet cmp 389

TataMotors Triggered a Stoploss for regular traders Hedgers can hold the position

SunTV call expired as entry not initiated.

M&M & SSLT has achieved targets on 18th & 19th march, respectively.

tatasteel achieved 2nd target (365) today, BUT we have exited on 1st target.

 

Update

Our 1st Target in Tatasteel (360.00) has been achieved yesterday.

TATAMOTORS is trading near SL level. One should exit the position,If close below SL levelBUT those traders who has hedged the position, can hold as I’m expecting some movement on either side.

Our Long Call in CIPLA has been activated yesterday.

Our Long Call in MCDOWELL has been activated yesterday, & one should book the profit around 2575-2600, CMP: 2583.00

Our Long call in SSLT has been Activated & 1st target (178.00) achieved yesterday.

Short call in M&M has been activated in 18th march & M&M is trading near 2nd Target (970), CMP:984, its better to book the profit.

Our Short Call in Hero has been activated yesterday, one should book the profit at level of 2060

 

*T & C Apply.

* Stoploss should be respected on Closing Basis not for intraday, SL can be easily triggered in intraday, if unexpected fall/rise comes for a seconds. So it is necessary that the Traders/investors should hedge their position properly to avoid loss occurred due to triggering SL followed by unexpected fall/rise in stock/index.

* The Aim of hedging is to minimize the losses & protect the holding from unexpected/big movement. 

update

Our target has been almost achieved yesterday in TATAMOTORS (390) short suggested around 417-420 

Our target has been almost achieved on 11 march in TCS (2190-2130)short suggested below 2240 

 

T & C Apply.

I’M BULLISH ON…..

AFTER LONG TIME WE EUR/USD TRADING HIGH…..( APPROX. 1.5-2 YEARS HIGH)

WE EXPECT OUR MARKET ALSO RESPECT TO EURO RALLY TODAY OR TOMORROW IF THAT RALLY SUSTAIN.

I’M BULLISH ON BANKING STOCK ESPECIALLY ON BANKNIFTY AROUND 12275 FOR TARGET ABOVE 12500 & ABOVE , THE STRICT STOPLOSS WILL BE 11925.00

* T & C AAPLY

Rally seen due to easing tensions in Ukraine

All markets celebrating an amazing Rally, due to easing tensions in Ukraine.

most of index/stocks showing surprising rally.

I’m Cautious Bullish on market as market is at higher level, Nifty given upside breakout but Banknifty is far away than the previous lifetime high.Most of stocks haven’t touched their lifetime high level.

It will be more interesting to see, what will happen in coming days, much volatility expected in coming trading sessions.

positions should be hedged properly, as market looks like ready to show big either side movement with high volatility.

Flow of domestic & international politics news might be increased in coming days.

MY VIEW ON STOCKS

MY VIEW ON STOCKS:

I AM BULLISH ON:

CAIRN INDIA  IF CLOSE ABOVE 329, SL 323, EXPECTING LEVEL OF :332-335

IBREAL IF CLOSE ABOVE 50.50

RCOM @ 106-108 SL 100(CLOSING) EXPECTING LEVEL OF 113-118-125

SESA STERLITE @ 160-165 SL  154 EXPECTING LEVEL OF 185-195

TATASTEEL @ 325-330, SL 312, EXPECTING LEVEL OF : 360

I AM BEARISH ON:

AXIS BANK  if close below 1145, SL 1282, expecting 1205-1188

BANKNIFTY SPOT  if close below 10610 SL of 10790 (closing) for expecting level of of 10315-10160

BHEL @ 162 SL 167, EXPECTING LEVEL OF :155-150

BPCL @ 377-385 SL ABOVE 395 EXPECTING LEVEL OF :360-345

HCLTECH IF CLOSE BELOW 1496 SL 1570, EXPECTING LEVEL OF :1440-1380

HDFC IF CLOSE BELOW 805,SL:833 EXPECTING LEVEL OF :785-750

INDUSIND @ 405 SL 416, EXPECTING LEVEL OF 390-383

ITC @ 336 SL 342 EXPECTING LEVEL OF 320-315

KOTAKBANK @ 690 SL 706 EXPECTING LEVEL OF :660-645

NIFTY BELOW 6240,SL 6335 EXPECTING LEVEL OF 6100-6030

RANBAXY BELOW 376 SL 392

RPOWER BELOW 62 SL 64.50 EXPECTING LEVEL OF 59.50-58.00

SUNPHARMA IF CLOSE BELOW 620 SL 657 EXPECTING LEVEL OF 595-570

TATAMOTORS @ 420 STRICT SL 426 EXPECTING LEVEL OF  390-375

SUNTV @ 375 SL 393 EXPECTING LEVEL OF 360-345

TCS BELOW 2240 SL 2310 EXPECTING LEVEL OF 2190-2130

WIPRO BELOW 590 SL 606, EXPECTING LEVEL OF 580-565

DRREDDY IF CLOSE BELOW 2800 SL:2900. EXPECTING LEVEL OF 2665,2510  *(HIGH RISK)

* KINDLY NOTE:

ANY CALL / UPDATE / LEVEL OR SUCH SIMILAR INFORMATION GIVEN ON THIS WEBSITE IS ONLY FOR STUDY PURPOSE, NOT FOR REAL TRADING.

ALL LEVELS GIVEN ARE ALWAYS FUTURE CONTRACT PRICE, IF NOT MENTIONED (AS SPOT/CASH.)

ALL THE POSTED CALLS WILL BE ACTIVE ONLY IF THE MENTIONED LEVELS GET TRIGGERED.WE WILL UPDATE IN NEXT POST IF CALL ACTIVATED BY TRIGGERING THE LEVELS.

TIME FRAME FOR ALL EXPECTED TARGETS IS MOSTLY A WEEK OR MORE.

WE WILL NOT BE RESPONSIBLE FOR ANY KIND OF LOSS IF ANYBODY USE THOSE CALLS FOR ACTUAL TRADING.

* T & C APPLY.

Call Update..

Our Traget has been achieved in Hindalco &  Biocon.

1.

Hindalco made high above 107,

we was bullish @ 98 on 24 feb for target of 100-102.

 

2.

Biocon high made 470 on 9.32 am, 3 march 2014.

we was long in biocon @ 438 – 440 on 24 feb 2014 for target of 453-468.

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axis touched level of 1280 

we said on 25 feb, 

(AXISBANK might respect to resistance level of 1250 & may test 1215, any upmove above 1266 might show1280-1300.)