Portfolio Management Services – Performance update (16-06-14 thru 15-07-14)
Below are the calls given between 16-06-14 thru 15-07-14:
16-06-14 | Market hour | Sell Indusind Bank at 527.50, target: 518. Stoploss: 534 | SL triggered |
17-06-14 | Pre-market | Buy Strides Acrolab at 640.50, target: 658. Stoploss: 629 | Book profit in Stirdes acrolab at 663 |
17-06-14 | BTST | Buy GAIL at 444.25, target: 455. Stoploss: 439 | Book profit in Gail at 451 |
17-06-14 | Market hour | Sell LT at 1664, target: 1635. Stoploss: 1680 | SL triggered |
19-06-14 | Pre-Market | Buy Polaris Software at 219.60, target: 226. Stoploss: 215 | SL triggered |
19-06-14 | Futures | Futures: Sell Reliance at 1043, target: 1025. Stoploss: 1058 | Book profit at 1031 |
20-09-14 | Pre-market – Converted to BTST | Buy Asian Paints around 568, target: 582, SL 556 | Book profit at 576 |
25-06-14 | Pre-market – Converted to Delivery | Buy Cipla at 427.4, target: 436. Stoploss: 421.50 | Book profit in Cipla at 438.5 |
27-06-14 | Pre-market | Buy Bata India at 1228, target: 1248. Stoploss: 1213 | Book profit in Bata India at 1247 |
27-06-14 | Market hour | Buy Havells India at 1141, target: 1160. Stoploss: 1128 | Book profit at 1154 |
27-06-14 | Market hour | Sell ICICI Bank below 1390, target: 1375. Stoploss: 1402 | Book profit in ICICI Bank at 1378 |
30-06-14 | Pre-market | Buy Future Retail at 135.4, target: 141. Stoploss: 132 | Exit from FRL at 134 |
1/7/2014 | Pre-market | Buy Larsen & Tubro at 1705, target: 1730. Stoploss: 1690 | Book profit in LT at 1725 |
1/7/2014 | Market hour | Buy Den Networks at 237.40, target: 244. Stoploss: 233 | Book profit in Den networks at 246 |
3/7/2014 | Pre-market | Buy REC ltd above 372, target: 379. Stoploss: 368 | Book profit in REC at 379 |
3/7/2014 | Swing call | Buy Sharon Bio-Medicine at 51.5, target: 58. Stoploss: 48 | Book profit at 57.90 |
4/4/2014 | Pre-market – Converted to delivery | Buy Indian Overseas bank at 83.35, target: 87. Stoploss: 81.5 | Exit from IOB at 82.50 |
7/7/2014 | Pre-market | Buy JSW holdings at 865.60, target: 882. Stoploss: 852 | Avoid due to gap down opening |
7/7/2014 | Swing call | Buy Container Corporation of India at 1283, target: 1310. Stoploss: 1260 | Book profit in Container corporation of India at 1310 |
7/7/2014 | BTST | Buy LIC housing at 333.25, target: 340. Stoploss: 329 | On hold |
8/7/2014 | Pre-market | Buy HCL Technologies around 1510, target: 1545, SL 1485 | SL Triggered in HCL tech |
9/7/2014 | Market hour | Sell PNB at 916, target: 898. Stoploss: 927 | SL triggered in PNB |
10/7/2014 | Pre-market | Buy Lupin around 1030, target: 1070, SL 1005 | Book profit in Lupin at 1045 |
11/7/2014 | Pre-market | Buy MCX at 705, target: 720. Stoploss: 695 | Book profit in MCX at 725 |
11/7/2014 | Market hour | Buy Hindustan Unilever at 635.50, target: 643. Stoploss: 630. | Book profit in Hindustan Unilever at 642.50 |
14-07-14 | Pre-market | Buy Emami ltd at 521.10, target: 535. Stoploss: 511. | SL triggered in Emami |
15-07-14 | Pre-Market | Buy CESC at 650, target: 665. Stoploss: 638 | On hold |
Considering one trades with 300 units per call, profit as of today (from 16-06-14 thru 15-07-14) is Rs: 41,220. This figure of Rs.41,220 does not include results of stocks that are on hold as of now.
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