Welcome to SUMAMURA

May 2013

Monday, May 20 2013
intraday   DATE 20-May-13  
stocks / indices go entry Target Stoploss
PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .
BANK NIFTY SPOT short 13350 13295/240/185/130/075/020 13405
long 13405 13460/515/570 13350
RELIANCE short  831 825/19/13/07 837
long 837 843/49/55/61 831
ICICI BANK short 1225 1221/16/12/07/03 1230
long 1230 1234/39/43/48 1225
SBI short 2415 2403/391/79/67 2427
long 2427 2439/51/63 2415
LT short 1611 1599/87/75 1623
long 1623 1635/47/59 1611
TATA MOTORS short  303.00 302/01/300/299/98 304
long 304 305/06/07/08 303
century text short 323 321.5/20/18.5/17 324.5
long 324.5 326/27.5/29 323
ambuja cement short 188.5 187/85.5/84 189.25
long 190 191.5/93/94.5/96 189.25
escorts short 66.5 66/65.5/65 67
long 67 67.5/68/68.5/69/69.5/70 66.5
bhel short 201 199.5/98/96.5/95 202.5
long 202.5 204/05.5/07 201
voltas short 93.75 93/92.25 94.5
long 94.5 95.25/96/96.75/97.5 93.75

Monday, May 20 2013 TO Friday, May 24 2013
weekly   DATE 20th / 24th may  2013    
commodity go entry Target Stoploss  
gold short 1360 1345/30/15/1300 1375 US$ / T ounce
long 1375 1390/1405/20/35 1360  
silver short  22.38 22.16/21.94/21.72/21.5/21.28/21.06 22.6 US$ / T ounce
long 22.6 22.82/23.04/23.26/23.48/23.7 22.38  
crude short 95.8 95/94.2/93.4/92.6 96.6 US$ / barrel
long 96.6 97.4/98.2/99 95.8  
nat gas  short 4 3.95/3.9/3.85/3.8 4.05 US$ / 10K MMBTU
long 4.05 4.1/4.15/4.2 4  
copper short 3.35 3.31/3.27/3.23 3.39 US$ / pound
long 3.39 3.43/3.47/3.51 3.35  
sugar short 476 472/68/64/60 480 US$ / tonne
long 480 484/88/92 476  

Monday, May 20 2013 TO Friday, May 24 2013
weekly   DATE 20th / 24th   may 2013  
world indices go entry Target Stoploss
S & P short 1652 1638/24/10/1596/82 1666
long 1666 1680/94/1708 1652
nasdaq comp short  3445 3405/365/325/285/245/205 3485
long 3485 3525/65/605/645 3445
dow jones short 15280 15160/040/14920/800 15400
long 15400 15520/640/760/880/16000 15280
FTSE short 6690 6645/6600/555/510/465/420 6735
long 6735 6780/825/870 6690

Monday, May 20 2013 TO Friday, May 24 2013
POSN TRADING weekly DATE 20th / 24th may 2013  
stocks / indices go entry Target Stoploss
ALWAYS PREFER TRADES IN THE DIRECTION OF NIFTY
cnx nifty short 6150 6110/070/030/5990/950 6190
long 6190 6230/270/310/350 6150
bse sensex short 20175 20050/19925/800/675/550 20300
long 20300 20425/550/675/800/925 20175
 BANK NIFTY Short 13270 13140/010/12880/750 13400
Long 13400 13530/660 13270
CNX IT Short 6330 6290/250/210/170/130 6370
Long 6370 6410/450/490/530 6330
ACC Short 1254 1241/28/15/02 1267
Long 1267 1280/93/1306 1254
axis bank Short 1519 1504/1489/74/59/44 1534
Long 1534 1549/64/79/94 1519
BHEL Short 201 198/95/92 204
Long 204 207/10/13/16 201
BHARTI Short 311 306/01/296/91 316
Long 316 321/26/31/36 311
CIPLA Short 419 414/08/03/397 422
Long 425 430/36/41 422
HDFC Short 896 887/78/69/60 905
Long 905 914/23/32/41 896
hdfc bank Short 715 710/05/700/695/90 720
Long 720 725/30/35/40 715
HUL Short 581 577/73/69/65/61 585
Long 585 589/93/97 581
INFOSYS Short 2328 2306/2284/62/40 2350
long 2350 2372/94/2416 2328
ICICI BANK Short 1222 1208/1194/80/66 1236
Long 1236 1250/64/78 1222
IDFC Short 162.5 161/159.5/58 164
Long 164 165.5/67/68.5/70 162.5
ITC Short 335 329/23/17/11 338
Long 341 347/53/59 338
LT Short 1608 1592/76/60/44/28 1624
Long 1624 1640/56/72 1608
M&M Short 977 968/59/50/41/32 986
Long 986 995/1004/13/22/31/40 977
MARUTI Short 1693 1670/48/25/03 1715
Long 1715 1738/60/83 1693
RELIANCE Short 829 821/13/05/797 837
long 837 845/53/61/69 829
SBI Short 2410 2390/70/50/30/10 2430
Long 2430 2450/70/90 2410
TATAMOTORS Short 299 295/91/87/83/79 303
Long 303 307/11/15/19/23/27 299
TATASTEEL Short 309 306/03/300/297/94 312
Long 312 315/18/21/24 309
TCS Short 1467 1454/41/28/15/02 1480
Long 1480 1493/1506/19/32/45 1467
         
       
CNX AUTO  short 4720 x 4760
long 4760 x 4720
CNX ENERGY short 8120 x 8200
long 8200 x 8120
CNX FMCG short 17220 x 17340
long 17340 x 17220
CNX INFRA short 2515 x 2545
long 2545 x 2515
CNX METAL short 2215 x 2240
long 2240 x 2215
CNX MIDCAP short 8100 x 8180
long 8180 x 8100
CNX PHARMA short 6835 x 6880
long 6880 x 6835
CNX PSU BANKS short 3410 x 3455
long 3455 x 3410
CNX REALTY short 241.5 x 245
long 245 x 241.5

Friday, May 17 2013

market is running ahead of macro fundamentals ....

 

suggest u buy 6100 june nifty put around 95/100 ..... good reward expected ........