Messages

Tuesday, June 17 2014
08:50 AM

 

intra levels

 

DATE

17th june  2014

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

7542

7527/12/497/82/67

7557

long

7557

7572/87/603

7542

bank nifty

short

14990

14940/890/840/790/740/690

15040

long

15090

15140/190/240/290/340

15040

dishman pharma

short

119.5

118/16.5/15

121

long

121

122.5/24/25.5/27

119.5

VOLTAS

short

225

223/21/19/17

227

long

227

229/31/33/35

225

maruti

short

2373

2356/39/22/05

2390

long

2390

2407/24

2373

hdfc

short

959

955/51/47/43/39/35

963

long

967

971/75/79

963


Monday, June 16 2014
08:11 AM

 

POSN TRADING

weekly

DATE

16th / 20th  june  2014

 

stocks / indices

go

entry

Target

Stoploss

ALWAYS PREFER TRADES IN THE DIRECTION OF NIFTY

cnx nifty

short

7543

7495/47/399/351/303

7591

long

7591

7639/87

7543

bse sensex

short

25210

25045/24880/715/550/385

25375

long

25375

25540/25705

25210

 BANK NIFTY

Short

15070

14960/850/740/630/520/410/300

15180

Long

15290

15400/510/620/730

15180

CNX IT

short

9339

9256/173/090/007

9422

long

9422

9505/88/671

9339

aurobindo

Short

695

688/81/74/67/60/53/46

702

Long

702

709/16/23/30

695

axis bank

Short

1818

1791/64/37/10/1683

1831

Long

1845

1872/99/1926

1831

BOB

Short

838

823/08/793/78/63/48

846

Long

853

868/83/98/913

846

BHARTI

Short

331.5

326/20.5/15/09.5/04/298.5

337

Long

337

342.5/48/53.5/59

331.5

dr reddys

Short

2427

2398/69/40/11

2456

Long

2456

2485/516/45

2427

glenmark pharma

Short

580

574/68/62/56/50

586

Long

586

592/98/604/10

580

HCL TECH

Short

1436

1420/04/1388/72/56/40

1452

long

1452

1468/84/1500/16

1436

HDFC

Short

976

966/56/46/36/26/16

986

Long

986

996/1006/16/26

976

hdfc bank

Short

833

825/17/09/01/793/85

841

Long

841

849/57/65

833

HUL

Short

631

624/17/10/03/596

638

Long

638

645/52/59/66

631

ICICI BANK

Short

1427

1407/1387/67/47

1437

Long

1447

1467/87/1507

1437

IDFC

Short

127.5

126/24.5/23/21.5/20/18.5/17/15.5/14

129

Long

130.5

132/33.5/35/36.5/38/39.5/41

129

INFOSYS

Short

3148

3113/3078/43/08

3183

long

3183

3218/53/88

3148

ITC

Short

333

328/23/18/13/08

338

Long

338

343/48/53/58

333

LT

Short

1673

1648/23/1598/73

1685

Long

1698

1723/48/73

1685

M&M

Short

1229

1214/1199/84/69/54/39/24

1244

Long

1244

1259/74/89

1229

MARUTI

Short

2392

2364/36/08/2280/62

2420

Long

2420

2448/76/504/32/60

2392

ONGC

Short

422

417/12/07/02/397/92/87

427

long

427

432/37/42

422

RELIANCE

Short

1077

1061/45/29/13/997

1085

long

1093

1109/25/41/57

1085

sun pharma

Short

628

618/08/598/88/78/68

633

Long

638

643/48/53/58/63/68

633

SBI

Short

2590

2560/30/2500/2470/40/10

2620

Long

2620

2650/680/710/740/770/2800

2590

TATAMOTORS

Short

433

426/19/12/05/398

440

Long

440

447/54/61/68

433

TATASTEEL

Short

523

517.5/12/06.5/01/495.5/90

528.5

Long

528.5

534/39.5/45/50.5

523

TCS

Short

2212

2191/70/49/28/07

2233

Long

2233

2254/75/96

2212

tech mahindra

Short

2022

2006/1990/74/58/42/26/10

2038

Long

2038

2054/70/86

2022

ULTRATECH

Short

2770

2740/10/2680/50/20

2800

Long

2800

2830/60/90/2920/50

2770

VOLTAS

Short

222

220/18/16/14/12/10/08/06

224

Long

224

226/28/30/32/34/36

222

 

 

 

 

 

 

 

 

 

CNX AUTO

short

6725

x

6785

long

6785

x

6725

CNX ENERGY

short

10740

x

10820

long

10820

x

10740

CNX FMCG

short

17830

x

18000

long

18000

x

17830

CNX INFRA

short

3338

x

3367

long

3367

x

3338

CNX METAL

short

3290

x

3325

long

3325

x

3290

CNX MIDCAP

short

10610

x

10730

long

10730

x

10610

CNX PHARMA

short

7980

x

7895

long

7895

x

7980

CNX PSU BANKS

short

3717

x

3756

long

3756

x

3717

CNX REALTY

short

253.5

x

255.5

long

255.5

x

253.5


08:55 AM

 

PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .

intra levels

 

DATE

16th june  2014

 

stocks / indices

go

entry

Target

Stoploss

NIFTY SPOT

short

7535

7506/477/448/419

7550

long

7564

7593/622

7550

bank nifty

short

15050

14975/900/825/750

15125

long

15125

15200/275/350/425/500

15050

BAJAJ CORP

short

232

229.5/27/24.5/22

234.5

long

234.5

237/39.5/42/44.5/47

232

BEML

short

748

740/32/24/16/08/700

756

long

756

764/72/80

748

axis bank

short

1826

1811/1796/81/66/51

1841

long

1841

1856/71/86

1826

HCL TECH

short

1436

1425/14/03/1392

1447

long

1447

1458/69/80

1436


Sunday, June 15 2014
06:23 PM

 Trading levels --- 16th / 20th   June   2014

 

On the last trading day of the week, the market melted - despite the huuuuuuge FII buy figure on Thursday. I have been witnessing big negative divergences not only on NIFTY but on most major nifty component charts and I suggested on Wednesday to buy OTM puts to capitalize on that. This message was given on YAHOO MESSENGER.  This was swimming against the tide as everyone was too bullish on the market.

 

On Friday also, we have a decent BUY figure from both FII and DII.   So who has been selling ?

 

It is the HNI crowd and broker’s proprietary desks which have been steadily unwinding positions at higher levels for nearly last 8/10 trading sessions. This indication is given by  MONEYFLOW indicator. This - coupled with negative divergences visible  - allowed me to come to a conclusion to give a call to buy OTM puts.

 

This week IT and PHARMA have been saving grace for the market. FII inflows of over 4,000 crores has also helped. Again I want to reiterate…. THIS MARKET IS NOT LIKELY TO GO DOWN IN A BIG WAY – NOT UNTILL BUDGET  but individual stocks will continue to give you great entry points which should not be missed.

 

SO BE ALERT FOR SUCH INVESTMENT OPPORTUNITIES.

 

Banks still look  FROTHY and this froth will come off  which will be healthy for the over all market.

 

On last Friday, many high beta stocks have moved down significantly but they still need to correct by another 25 to /30 %  before they can become attractive BUYs.

 

As I always say, we have to play percentages to make money. Bold bravado or blind following  does not help.  WHAT DO YOU SAY ? ? ?

 

JUNE 2014 TRADING LEVELS are out on 2nd JUNE . You can have a look at the same before entering fresh trades. I have also released CY 2014  trading levels  on my website – http://www.sumamura.com/sumamura-messages/

 

Please remember CAPITAL is always scarce and needs to be respected.

 

My monthly trading levels are out and paid members have them. At 3,000 rupees a year, they provide tremendous value for money proposition.

 

Keep logged on to yahoo messenger for guidance related to investment levels on specific stocks. I will be putting some of those recommendations on my website also under messages tab as well.

 

I am available on yahoo messenger on most of the trading days and you can add me on your yahoo messenger. My yahoo id is madhavranade1

 

Keep watching my website www.sumamura.com closely for further inputs. You need to register and login to see modules section where all the levels for different timeframes are  shown.

 

You can view individual modules for as little as 3,000 rupees per year. A package for all  8  modules for  just 30,000 rupees  for the full year.

 

Please call me on 9371002943 for more details.

 

 

Indices  weekly levels

 

TER POSN TRADING

weekly

DATE

16th / 20th  june  2014

 

stocks / indices

go

entry

Target

Stoploss

bse sensex

short

25210

25045/24880/715/550/385

25375

long

25375

25540/25705

25210

CNX IT

short

9339

9256/173/090/007

9422

long

9422

9505/88/671

9339

CNX AUTO

short

6725

x

6785

long

6785

x

6725

CNX ENERGY

short

10740

x

10820

long

10820

x

10740

CNX FMCG

short

17830

x

18000

long

18000

x

17830

CNX INFRA

short

3338

x

3367

long

3367

x

3338

CNX METAL

short

3290

x

3325

long

3325

x

3290

CNX MIDCAP

short

10610

x

10730

long

10730

x

10610

CNX PHARMA

short

7980

x

7895

long

7895

x

7980

CNX PSU BANKS

short

3717

x

3756

long

3756

x

3717

CNX REALTY

short

253.5

x

255.5

long

255.5

x

253.5

 

World   Commodities

 

weekly

 

DATE

16th / 20th  june 2014

 

 

commodity

go

entry

Target

Stoploss

 

gold

short

1271

1258/1245/1232/1219/1206

1284

US$ / T ounce

long

1284

1297/1310/23

1271

 

silver

short

19.39

19.26/19.13/19/18.87/18.74

19.52

US$ / T ounce

long

19.65

19.78/19.91/20.04/20.17/20.3

19.52

 

crude

short

106

104.75/03.5/02.25/01

107.25

US$ / barrel

long

107.25

108.5/09.75/11/12.25/13.5

106

 

nat gas

short

4.69

4.63/4.57/4.51/4.45

4.72

US$ / 10K MMBTU

long

4.75

4.81/4.87/4.93/4.99

4.72

 

copper

short

3.01

2.98/2.95/2.92/2.89

3.04

US$ / pound

long

3.04

3.07/3.1/3.13/3.16

3.01

 

sugar

short

461

454/47/40/33

468

US$ / tonne

long

468

475/82/89

461

 

 


Thursday, June 12 2014
08:46 AM

 

intra levels

 

DATE

12th june  2014

 

stocks / indices

go

entry

Target

Stoploss

PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .

NIFTY SPOT

short

7621

7602/7583/64/45

7640

long

7640

7659/78/97

7621

bank nifty

short

15440

15360/280/200/120

15520

long

15520

15600/680

15440

eveready

short

62.7

62.15/61.6/61.05/60.5

63.25

long

63.25

63.8/64.35/64.9

62.7

britannia

short

966

956/45/34/24

977

long

977

987/98/1008

966

MRPL

short

71.75

71/70.25/69.5/68.75/68

72.5

long

72.5

73.25/74

71.75

TCS

short

2196

2181/66/51

2211

long

2211

2226/41/56

2196


Wednesday, June 11 2014
08:53 AM

 

intra day

 

DATE

11th june  2014

 

stocks / indices

go

entry

Target

Stoploss

PREFER TO TRADE IN THE DIRECTION OF NIFTY . . .

NIFTY SPOT

short

7664

7640/16/592/68

7688

long

7688

7712/36/60

76647650

bank nifty

short

15410

15325/240/155/070

15495

long

15495

15580/665

15410

indoco remedies

short

167

166/65/64/63

168

long

168

169/70/71/72/73/74

167

monsanto

short

1818

1808/1798

1828

long

1828

1838/48/58

1818

cairn india

short

382

379.5/77/74.5/72

384.5

long

384.5

387/89.5/92

382

titan

short

340

338.5/37/35.5/34

341.5

long

341.5

343/44.5/46/47.5/49

340