Messages

Saturday, June 13 2015
04:53 PM

 MODEL PORTFOLIO  ( PREPARED ON 1/1/2015 ....  wl be adjusted on first july.

 

pl look at following stocks and their weightages -
 
ITC – 340/360
RELIANCE  - 850
LT – 1450/1500
HDFC – 1080/1100
SBI – 270/290
ABOVE 5 STOCKS SHUD FORM 40 % OF EQUITY PORTFOLIO
 
 
ICICI BANK – 325/345
HUL – 750/775
TATA MOTORS – 485/500
INFOSYS – 1800/1850
INDIAN HOTELS – 95/100
ABOVE 5 STOCKS SHUD FORM 30 % OF EQUITY PORTFOLIO
 
 
MINDTREE – 1100/1150
AXIS BANK – 460/480
TCS – 2400/2450
MARUTI - 3000/3050
COAL INDIA – 350/355
ABOVE 5 STOCKS SHUD FORM 20 % OF EQUITY PORTFOLIO
 
CIPLA – 600/610
SUN PHARMA – 800/820
ASIAN PAINTS – 725/750
IDEA –145/150
CAIRN INDIA – 240/245

 

ABOVE 5 STOCKS SHUD FORM 10 % OF EQUITY PORTFOLIO

Friday, June 12 2015
09:01 AM

 

PREFER TO TRADE IN THE DIRECTION OF NIFTY

intra levels

 

DATE

12th JUNE 2015

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

7959

7925/7891/57/23

7993

long

7993

8027/61/95

7959

bank nifty

short

17250

17120/16990/860

17380

long

17380

17510/640/770/900

17250

HDFC

short

1167

1155/43/31

1173

long

1179

1191/1203/15

1173

century textiles

short

584

579/74/69/64/59/54

586.5

long

589

594/99/604

586.5

idea

short

168

166.5/65/63.5/62/60.5/59

169.5

long

169.5

171/72.5/74/75.5/77

168

tata elxsi

short

1083

1076/69/62/55/48/41

1090

long

1090

1097/1104/11/18/25/32

1073


Thursday, June 11 2015
09:07 AM

 

PREFER TO TRADE IN THE DIRECTION OF NIFTY

intra levels

 

DATE

11th JUNE 2015

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

8154

8133/12/8091/70

8175

long

8175

8196/217/238

8154

bank nifty

short

17670

17580/490/400

17760

long

17850

17940/18030/120

17760

sparc

short

420

416/12

424

long

424

428/32/36/40/44/48/52

420

coal india

short

403.5

400/396.5

407

long

407

410.5/14/17.5

403.5

BEML

short

1223

1216/09/02/1195

1230

long

1230

1237/44/51/58/65

1223

engineers india

short

199.5

198/96.5

201

long

201

202.5/04/05.5/07

199.5


11:26 AM

 ARE WE IN A BEAR PHASE  ? ? ?

 

 we may have 50/200 cross .... 50DMA will cut 200DMA from above ..... likely to happen tomorrow ..... 

 
this is  another significant bearish factor market has to withstand .....  
 
also note that we may hv HDFC slipping below 200 DMA today if it closes below 1170 .... it looks possible now but we must wait and watch .... 
 
when such largecap stocks r going below 200DMA .... WE CAN SAY THAT BEAR MARKET IS NOT FAR AWAY  inspite of what the various AMCs and brokerage houses are saying .....
 
WE MAY NOT ENTER BEAR MARKET - CLASSICAL DEFINITION BY DOW THEORY .... but several stocks r in their own bear market ..... THAT IS A FACT ...

Wednesday, June 10 2015
08:42 AM

 

PREFER TO TRADE IN THE DIRECTION OF NIFTY

intra levels

 

DATE

10th JUNE 2015

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

8025

7990/55/20

8042

long

8060

8095/130/165/200

8042

bank nifty

short

17470

17350/230

17590

long

17590

17710/830/950

17470

LIC HSG FIN

short

394

392/390

396

long

396

398/400/402/04/06

394

cipla

short

593

590/87/84

596

long

596

599/602/605

593

nestle

short

5950

5900/850/800/750

6000

long

6000

6050/100/150/200

5950

bharat forge

short

1094

1084/74/64/54

1104

long

1104

1114/24/34

1094


Tuesday, June 9 2015
09:01 AM

 

PREFER TO TRADE IN THE DIRECTION OF NIFTY

intra levels

 

DATE

9th JUNE 2015

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

8022

7985/48/11

8040

long

8059

8096/133/170

8040

bank nifty

short

17450

17340/230/120/010

17560

long

17560

17670/780/890/18000

17450

hdfc

short

1177

1166/55/44/33

1188

long

1188

1199/1210/21

1177

cipla

short

602

597/5/93/88.5/84

606.5

long

606.5

611/15.5/20

602

nestle

short

5550

5510/470/430/390/350/310/270

5590

long

5630

5670/710/750/790

5590

GSK consumer

short

6090

6045/6000/5955/10/865/820

6135

long

6135

6180/225/270

6090