Friday 28 February 2014

RELIANCE IND : ADD IN PORTFOLIO FOR 1000+++

Reliance Industries

BSE: 500325 | NSE: RELIANCE | ISIN: INE002A01018 | SECTOR: REFINERIES


BUY RIL Till 780/70 SL 750 CB Target 920/1020++ (6/7 MONTH)
LONG TERM TARGET 1200++(2 YEAR)

LTP 793



About Reliance:

Reliance is in the Refineries sector. The current market capitalisation stands at Rs 256,675.16 crore.The company has reported a standalone sales of Rs 103,521.00 crore and a Net Profit of Rs 5 crore for the quarter ended Dec 2013.



NIFTY VIEW FOR MARCH MONTH : TRADE WITH SL :)


NIFTY CMP 6255 SPOT

 EXPECTED SELLING ZONE NEAR 6295-6310 WITH STOPLOSS OF 6359 CB FOR TARGET 6105/6090.

IF CLOSE BELOW 6050 THEN READY FOR 5910 AGAIN. 

IF IN CASE NIFTY SPOT CLOSE ABOVE 6359 SPOT THEN READY FOR 6525++ IN MARCH SERIES. 

SO TRADE WITH CAUTION AND STOPLOSS :) 

OPTION PLAYER CAN TAKE 6150PE@ 32/25 RANGE WITH SL 0 FOR 100++


 


Thursday 27 February 2014

VIEW ON ITC : LOOKING HOT FOR TARGET 353-420++

VIEW ON ITC:

BSE: 500875

 NSE: ITC 

 ISIN: INE154A01025

 SECTOR: CIGARETTE

Buy ITC LTD  Till 320-18 SL 306.5 CB Target 355-385-422++

LTP:328(26/02/2014) Cash Level.

Exit If Close Below 306.5-305 Range... It may test 280/70 Levels. Trade with SL. 

Option Player Can Take ITC March 340CE around 2.1/1.8 (Risk of 2k) For 5/6/7/8+ 
Or 345CE@.5-.8 (RISK OF 500) FOR 2+




About ITC : ITC is in the Cigarettes sector. The current market capitalisation stands at Rs 260,960.22 crore.The company has reported a standalone sales of Rs 8,623.11 crore and a Net Profit of Rs 2 crore for the quarter ended Dec 2013.





Updation of Some Calls & FEB EXPIRY OPTION JACKPOT CALL :)

Bata India 
990>>>>>>>>>>>>>>>1062(1060 Done ALL Target) 1020CE FEB@8 >>>> 40 HIGH (OUR BOTH TGT DONE )(5 Times Money)

BATA INDIA BUY VIEW CLICK HERE


Investment Call Polaris :)

130 >>>>>>>163.4 (Near 1ST TGT OF 170)

Click here For Call

Last Week 3 STOCK OPTION CALL Given........ Low Risk Call All 3 doubled :)







This Feb month 5800PE and Titan 210PE DIDN'T GIVEN MONEY  :) 



Saturday 22 February 2014

The Red Dress Story :)

The Red Dress Story


The stock market is really no different from your own business. 
Investing is a business and should be operated just like a business.
    Assume you own a small retail women's clothing store. You have bought and stocked women's dresses in three colors—yellow, green, and red. The red dresses are quickly sold out, the green ones are half sold, and the yellow ones have not sold at all. What do you do about it?
    Do you go to your buyer and say, "The red dresses are all sold out. The yellow ones don't seem to have any demand, but I still think they're good and besides, yellow is my favorite color, so let's buy some more of them anyway"?
Certainly not!
    The clever merchandiser who survives in the retail business eyes this predicament objectively and says, "We sure made a mistake. We'd better eliminate the yellow dresses. Mark them down 10%. Let's have a sale. If they don't sell at that price, mark them down 20%. Get our money out of those 'old dogs,' and put it in more of the hot-moving red dresses that are in demand." This is common sense in a retail business. Do you
do this with your investments? Why not?
    Everyone will make buying errors. The buyers for department stores are professional buyers and even they make mistakes. When you do slip up, as soon as you recognize it, sell and go on to the next thing. You do not have to be correct on all your investment decisions to make a net profit.

    Anytime a commitment in a security is made, you should define the potential profit and the possible loss. This is only logical: you would not buy a stock if there were a potential profit of 20% and a potential loss of 80%, would you? But how do you know this is not the situation when you buy a stock if you do not attempt to define these factors and operate according to well-thought-out selling rules? Do you have any specific selling rules, or are you flying blindly?

   I suggest you consider writing down the price at which you expect to sell if you have a loss, as well as the expected profit potential of all the securities you purchase. By writing it down, you will focus your attention later on the fact that the stock has reached one of these levels.

Note: Copy from Some books 

Sunday 16 February 2014

Power OF H&S PATTERN :) GIVEN INTRADAY LIVE CALL made 30 Point in Quick time :) BATA CALL DOUBLED

H&S PATTERN :)
Read More About This Pattern


6023.30 >>>>>>>>>>>>> 5992.35( LOW) ( According to pattern Expected 5990) 




                                      BATA INDIA 


AFTER CALL MADE LOW 990.6 (13/02/2014) >>>>>>>>>>1026.90 HIGH YET

1020CE@8>>>>>>>17(DOUBLED)CLICK HERE FOR CALL



@ LEARN AND EARNNNNNNNNNNNN :) 


Friday 14 February 2014

Nifty View For NEXT WEEK : 5868 expected

CMP 6060 HIGH 6063 SL 6077 CB (take small Risk) tgt 5868Nifty FUT Forming  Descending Triangle pattern.............. CLOSE ABOVE 6077 Pattern is Invalid........... IF pattern works ready for 5868 :) 



Thursday 13 February 2014

13/02/2014 Report: 100++ Point Fall From TOP (Again From EXACT TOP )


Last Friday View Given Below IF not able to Cross or Sustain above 6125 FUT we can see market at 5888.. after 3 days of Range bound market finally Made high 6126 and today fallen made low 6097.
RESPECT THE LEVEL 




                                         LIVE CALL ON FB Click here 


On 10th Again POSTED CHART and Alerted... and Failed to Close above 6115 Future Today Made low of 6097......
POWER OF CHART 

SEE HERE CHART

SEE LIVE ON FB

View on VOLTAS : ADD FOR Target 222+++



Ready to form Inverted H&S Pattern............. MY NEXT AUROPHARMA till Diwali Expected Double ......... 


keep adding in Portfolio for Good Return..... 
VOLTASSSSSSSSS 
Previously GIVEN AT 88 FOR 110 ...... 
SEE HERE
(http://stockstudy8.blogspot.in/2013/10/view-on-voltas.html )

Buy Voltas till 105-110 SL 95 CB FOR Target  180-222++ ( Till DIWALI 2014)

LTP 118

Wednesday 12 February 2014

Short Term Call: BATA INDIA : Target 1040-60++



Buy BATA INDIA Till 991 Sl 979.5 CB Target 1040-59++


Option Player : Buy 1020CE@9-8 SL 4 (RISK 1000) Target 20-26+






Tuesday 11 February 2014

Nifty View For a Week 11-14 Feb


11/02/2014 11:43 am

LTP 6085 High 6095 yet 

If Nifty Fut Manage to Close above 6115 Fut Then we can see Upside till 6233 n More.. Else 5858 Expected... till Friday .. From Last 3 Days Nifty SPOT NOT ABLE TO CROSS 6083-6086 ZONE.. CLOSE ABOVE THAT ALSO GOOD SIGN FOR BULLS.




Monday 3 February 2014

03/02/2014 Report: 100++ Point in Niftyyyyy............ Again Alerting DON'T GO LONG ..... BULL TRAPPED AGAIN..

After Hitting 6100 Expiry target from 6365  SHORT CALL FROM 6365 .

Now Friday again given Shorting level.......6099-6109 SPOT ...Exact High 6097.85 and Today's low 5994.45. Low... 

Again BULLS TRAPPED........ when everyone Given Target of 6222 Minimum at level of 6100.. I'm given short...and now made new low...... Now SGX -40 ... Only GOD CAN SAVE BULL those who long from 6350-6250. 



                        FOR LIVE CALL CLICK HERE

TODAY MORNING WHEN NIFTY FUT TRADING AT 6091.. HIGH 6102.75.. THAT TIME AGAIN GIVEN ALERT DONT GO LONG........... AND FROM THERE 6091 TO 6034 MADE LOW.......... 

                       LIVE ALERT ........ CLICK HERE

AND MID TERM SHORT CALL FROM 6315 SPOT TODAY MADE LOW 5994..       SHORT CALL-MID TERM



FOR TECHNICAL ANALYSIS TRAINING CONTACT ME @ technicalanalyst8@gmail.com