Quotes with Resistance & Support
Market Information

Intraday calls for 13-09-10

Posted on: September 13th, 2010 at 8:20 am

Markets likely to open higher. Support for nifty is at 5600

Buy MBL Infrastructures Ltd at 277.95, target: 288. Stoploss: 271
Buy DIC India Ltd at 329.60, target: 337. Stoploss: 323 – (Book profits at 238)

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678 Responses

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Comment pages: 353637383940414243Show all

  1. Nascar Says:
    September 13th, 2010
    Posted at: 6:27 pm

    Sunil ji!!

    Please suggest me that where I can short Nifty and SL please....

    Thanks!!!


  2. Shivaji Ghosh Says:
    September 13th, 2010
    Posted at: 6:31 pm

    Sir, I bought RIL @1005 last month. Presently the closing is 993. Please advise the exit price from the stock.

    Thanks and regards.


  3. SunilRao Says:
    September 13th, 2010
    Posted at: 6:33 pm

    Hi Nascar, Nifty has broken a very major resistance and may see higher levels in coming days, As of now, Nifty is very strong above 5665. Don't short yet.


  4. Nascar Says:
    September 13th, 2010
    Posted at: 6:35 pm

    Thanks Sunil ji,

    Please suggest that what level can Nifty touch in this run?

    5900 ..is it possible this expiry?


  5. suresh m Says:
    September 13th, 2010
    Posted at: 6:39 pm

    thanks cb,is it good to enter nagarjuna fert @ cmp?


  6. CB Says:
    September 13th, 2010
    Posted at: 6:49 pm

    Hi P, wait for a couple of days. lets see where nifty settles

    Hi suzane, tide can see 10100. coromandel around 665

    Hi Shivaji Ghosh, hold onto it for short term. likely to add some more from here.

    Hi suresh m, no, not yet. chambal looks better


  7. SunilRao Says:
    September 13th, 2010
    Posted at: 6:50 pm

    Hi Nascar, Most Welcome. If Nifty closes above 5780 end of this week, we may see 5900 within this expiry.


  8. setul Says:
    September 13th, 2010
    Posted at: 6:51 pm

    i have opto circuits @ 275 should i hold or sell , any stock in the range of 100 for 15 days time


  9. ramsingh Says:
    September 13th, 2010
    Posted at: 6:59 pm

    Hai CB!
    What about further market condition from tommorrow.


  10. CB Says:
    September 13th, 2010
    Posted at: 7:07 pm

    Hi setul, keep trailing sl at 300 and hold it. can see 315

    Hi sudheer, no, not sure whats wrong. for now its a hold

    Hi ramsingh, may open slightly higher


  11. suzane Says:
    September 13th, 2010
    Posted at: 7:07 pm

    Hi CB, am trying for subscribing IPO of INDO SOLAR
    is it good to go with it ??
    am using ASBA .. its asking me for benificiary a/c ... whats that ??
    their are 6 options
    Depositary name ... ie NSDL
    EMAIL
    DP ID
    CLIENT ID
    PAN CARD
    Benificiary a/c


  12. setul Says:
    September 13th, 2010
    Posted at: 7:10 pm

    any stock in range of 100 for 15 days


  13. YASH Says:
    September 13th, 2010
    Posted at: 7:17 pm

    CB
    Iam holding 80 PE UNITECH and 170 PE Hindalco is it hold or exit in loss


  14. SunilRao Says:
    September 13th, 2010
    Posted at: 7:24 pm

    Hi Cb,

    I had been working on developing a near perfect trading system based on the PWO for stocks and indices. I had been back-testing it on Nifty and paper trading based on this new system for over a month. Currently its only developed for long trades, but once perfected, I will program it for short trades too. The Results are quite impressive and I tried my first actual trade on it today.

    Here are the back-testing results from 01-Aug-2010 till date:

    02/08 10:15, Buy @ 5413.95(50), 5389.15(50), Target:5456.15, SL:5385.45, 5373.05
    02/08 10:30, Bought @ 5413.95(50), Py:5389.15(50), Target:5456.15(50), SL:5385.45, 5373.05
    03/08 09:15, New Day (Flat Opening Detected): Target:5460.10, SL:5389.35, 5376.95
    04/08 09:15, New Day (Flat Opening Detected): Target:5461.65, SL:5391.30, 5379.00
    04/08 15:15, Sold(50) @ 5461.65, Profit:2385.00
    04/08 15:30, Buy @ 5469.05(50), 5444.40(50), Target:5511.00, SL:5440.70, 5428.35
    05/08 09:15, New Day (Flat Opening Detected): Entry:5471.80, 5447.20, Target:5513.60, SL:5443.50, 5431.20
    05/08 09:15, Bought @ 5471.80(50), Py:5447.20(50), Target:5513.60(50), SL:5443.50, 5431.20
    05/08 15:15, Bought @ 5447.20(50), Target:5513.60(100), SL:5443.50, 5431.20
    06/08 09:15, New Day (Flat Opening Detected): Target:5515.70, SL:5445.90, 5433.65
    06/08 14:30, SL1 Hit Exit:5466.70, Strict SL:5433.65
    09/08 09:15, New Day (Flat Opening Detected): Target:5468.70, SL:5447.95, 5435.80
    09/08 12:45, Sold(100) @ 5468.70, Profit:920.00
    09/08 14:30, Buy @ 5476.00(50), 5451.60(50), Target:5517.45, SL:5447.95, 5435.80
    09/08 14:45, Bought @ 5476.00(50), Py:5451.60(50), Target:5517.45(50), SL:5447.95, 5435.80
    10/08 09:15, New Day (Flat Opening Detected): Target:5520.35, SL:5451.05, 5438.90
    10/08 13:15, Bought @ 5454.70(50), Target:5520.35(100), SL:5451.05, 5438.90
    10/08 15:00, SL1 Hit Exit:5471.70, Strict SL:5438.90
    11/08 09:15, New Day (Flat Opening Detected): Target:5474.10, SL:5453.50, 5441.40
    11/08 09:30, Sold(100) @ 5474.10, Profit:875.00
    13/08 09:30, Buy @ 5438.40(50), 5414.30(50), Target:5479.40, SL:5410.70, 5398.60
    13/08 13:15, Signal Cancelled
    18/08 11:00, Buy @ 5445.90(50), 5422.00(50), Target:5486.55, SL:5418.40, 5406.45
    18/08 11:15, Bought @ 5445.90(50), Py:5422.00(50), Target:5486.55(50), SL:5418.40, 5406.45
    18/08 15:30, Sold(50) @ 5486.55, Profit:2032.50
    19/08 09:30, Buy @ 5497.15(50), 5473.25(50), Target:5537.75, SL:5469.65, 5457.70
    19/08 12:00, Signal Cancelled
    20/08 09:45, Buy @ 5524.70(50), 5500.80(50), Target:5565.25, SL:5497.25, 5485.30
    20/08 10:00, Bought @ 5524.70(50), Py:5500.80(50), Target:5565.25(50), SL:5497.25, 5485.30
    23/08 09:15, New Day (Flat Opening Detected): Target:5566.95, SL:5499.35, 5487.45
    24/08 09:15, New Day (Flat Opening Detected): Target:5544.90, SL:5477.70, 5465.90
    24/08 09:15, Sold(50) @ 5544.90, Profit:1010.00
    01/09 09:45, Buy @ 5428.60(50), 5405.20(50), Target:5468.40, SL:5401.70, 5390.00
    01/09 12:45, Bought @ 5428.60(50), Py:5405.20(50), Target:5468.40(50), SL:5401.70, 5390.00
    01/09 14:45, Target Almost Reached Target:5468.40, Strict SL:5448.50
    01/09 15:15, Sold(50) @ 5468.40, Profit:1990.00
    02/09 09:15, Buy @ 5478.60(50), 5455.20(50), Target:5518.40, SL:5451.70, 5440.00
    02/09 12:45, Bought @ 5478.60(50), Py:5455.20(50), Target:5518.40(50), SL:5451.70, 5440.00
    03/09 09:15, New Day (Flat Opening Detected): Target:5520.35, SL:5453.95, 5442.30
    06/09 09:15, New Day (Flat Opening Detected): Target:5522.00, SL:5455.90, 5444.35
    06/09 09:15, Sold(50) @ 5522.00, Profit:2170.00
    06/09 10:15, Buy @ 5528.95(50), 5505.75(50), Target:5568.35, SL:5502.30, 5490.70
    06/09 10:30, Bought @ 5528.95(50), Py:5505.75(50), Target:5568.35(50), SL:5502.30, 5490.70
    06/09 13:00, Target Almost Reached Target:5568.35, Strict SL:5548.65
    06/09 13:30, Sold(50) @ 5568.35, Profit:1970.00
    06/09 14:15, Buy @ 5575.30(50), 5552.15(50), Target:5614.70, SL:5548.65, 5537.05
    06/09 14:30, Bought @ 5575.30(50), Py:5552.15(50), Target:5614.70(50), SL:5548.65, 5537.05
    07/09 09:15, New Day (Flat Opening Detected): Target:5621.05, SL:5554.65, 5543.00
    07/09 15:00, Sold(50) @ 5621.05, Profit:2287.50
    08/09 10:00, Buy @ 5584.80(50), 5561.60(50), Target:5624.30, SL:5558.10, 5546.50
    08/09 10:15, Bought @ 5584.80(50), Py:5561.60(50), Target:5624.30(50), SL:5558.10, 5546.50
    08/09 13:00, Target Almost Reached Target:5624.30, Strict SL:5604.55
    08/09 13:30, SL2 Hit Instant Exit:5601.55
    08/09 13:45, Sold(50) @ 5601.55, Profit:837.50
    08/09 14:15, Buy @ 5584.80(50), 5561.60(50), Target:5624.30, SL:5558.10, 5546.50
    08/09 14:30, Bought @ 5584.80(50), Py:5561.60(50), Target:5624.30(50), SL:5558.10, 5546.50
    09/09 09:15, New Day (Flat Opening Detected): Target:5627.75, SL:5561.70, 5550.15
    09/09 09:15, Sold(50) @ 5627.75, Profit:2147.50
    09/09 09:45, Buy @ 5634.70(50), 5611.55(50), Target:5674.10, SL:5608.05, 5596.50
    09/09 10:00, Bought @ 5634.70(50), Py:5611.55(50), Target:5674.10(50), SL:5608.05, 5596.50
    09/09 12:30, Bought @ 5611.55(50), Target:5674.10(100), SL:5608.05, 5596.50
    13/09 09:45, New Day (Gap-Up Opening Detected): Target:5722.60, SL:5656.85, 5645.30
    13/09 09:45, Target Almost Reached Target:5722.60, Strict SL:5703.00
    13/09 10:00, Sold(100) @ 5722.60, Profit:9947.50
    13/09 11:30, Buy @ 5729.50(50), 5706.45(50), Target:5768.75, SL:5703.00, 5691.45
    13/09 12:15, Bought @ 5729.50(50), Py:5706.45(50), Target:5768.75(50), SL:5703.00, 5691.45
    13/09 14:30, Sold(50) @ 5768.75, Profit:1962.50

    Nett P/L: 30535.00
    Nett Volume: 14373240.00
    Unrealised P/L: 0.00


  15. Subhashis Says:
    September 13th, 2010
    Posted at: 7:26 pm

    Hi CB, I bought Ramco at 79, 3 days back. I want to sell it tomorrow. What should be my target for tomorrow, plz ?


  16. arun bj Says:
    September 13th, 2010
    Posted at: 7:29 pm

    cb what is the next resistance . Level and support level . . . . ?

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