Welcome to SUMAMURA

June 2014

Tuesday, June 3 2014

 NTPC ..... buy 150 call around 17.5 ..... sell 165 call around 8.25/8.5 ......   BEST TRADE AVAILABLE NOW .... DONT MISS ......


Tuesday, June 3 2014

 

intra day

 

DATE

3rd june  2014

 

stocks / indices

go

entry

Target

Stoploss

PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .

NIFTY SPOT

short

7385

7368/50/33/15/7298/80

7403

long

7403

8420/38/55

7385

bank nifty

short

15330

15250/170/090/010/14930/850

15410

long

15410

15490/570/650

15330

NALCO

short

53.25

52.75/52.25

54.75

long

53.75

54.25/54.75/55.25/55.75/56.25/56.75

54.25

MARUTI

short

2325

2310/2295/80/65/50

2340

long

2340

2355/70/85/2400

2325

AXIS BANK

short

1896

1884/72/60/48/36

1908

long

1908

1920/32/44

1896

BHARAT FORGE

short

523

519/15/11

527

long

527

531/35/39/43

523


Tuesday, June 3 2014

 

intra day

 

DATE

3rd june  2014

 

stocks / indices

go

entry

Target

Stoploss

PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .

NIFTY SPOT

short

7385

7368/50/33/15/7298/80

7403

long

7403

8420/38/55

7385

bank nifty

short

15330

15250/170/090/010/14930/850

15410

long

15410

15490/570/650

15330

NALCO

short

53.25

52.75/52.25

54.75

long

53.75

54.25/54.75/55.25/55.75/56.25/56.75

54.25

MARUTI

short

2325

2310/2295/80/65/50

2340

long

2340

2355/70/85/2400

2325

AXIS BANK

short

1896

1884/72/60/48/36

1908

long

1908

1920/32/44

1896

BHARAT FORGE

short

523

519/15/11

527

long

527

531/35/39/43

523


Monday, June 2 2014

buy 15000 put around 340 / sell 14300 put around 130 ...... 

in case  bank nifty does not come down after policy ..... max risk about 100 / gain can be 400/450 ....

 

DONT MISS ....


Monday, June 2 2014

BANK NIFTY STRATEGY

 

buy 15000 put around 340 / sell 14300 put around 130 ...... 

in case  bank nifty does not come down after policy ..... max risk about 100 / gain can be 400/450 ....

 

 

DONT MISS ....