Intraday calls for 24-11-10
Markets likely to open flat. Resistance for nifty is at 5990
Buy Kotak Mahindra Bank at 475-479, target: 492. Stoploss: 466.
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Kartik Says:
November 24th, 2010
Posted at: 11:13 pm
Hi Tejas, no, dont enter it yet, brokerage charges and other taxes depend on your broker, cant be sure of it, we are likely to open flat tomorrow
Hi aman, yes, it looks good, can see 43.50 tomorrow
manas Says:
November 24th, 2010
Posted at: 11:22 pm
Hi Kartik. what may be the levels : high & low for JSW STEEL on 25.11.2010.
Tejas Says:
November 24th, 2010
Posted at: 11:26 pm
Hi Kartik, :) Sir i just want to learn how to calculate profit . Please explain me how much profit in this transaction ?just an example if one bought Nifty Fut @ 6135 and sell at 6170 he will earn 35 points in dis transaction . than how much profit he has earned in this transaction ..?
Kartik Says:
November 24th, 2010
Posted at: 11:30 pm
Hi Tejas, oh k, a lot size of Nifty is 50, so 50*35=1750
Kartik Says:
November 24th, 2010
Posted at: 11:31 pm
Hi manas, it can see around 1215 if Markets recovers tomorrow
Tejas Says:
November 24th, 2010
Posted at: 11:34 pm
Hi Kartik, ok sir thanks too much 4 your kind response .
pankaj Says:
November 24th, 2010
Posted at: 11:38 pm
SEL is movin down n down. is there some fundamentally wrong with it?? wht price can we enter it for a good bounce in short term?? thanx.
arun bj Says:
November 25th, 2010
Posted at: 12:02 am
hii all i got from money control
Mkts may form panic bottom tomorrow; will buy PSBs: IL&FS
Q: So do you think the Nifty can find support around this 5800 zone ballpark and make a turn from here?
A: Yes it is possible that it may go a little bit below that if there is a lot of panic tomorrow. But as I said the lower it goes tomorrow the better it is as a buying opportunity. Of course tomorrow is expiry day also so you could have some extra panic because of that if it were to happen. But I am convinced, the lower it goes the better it is to buy.
Q: How do you think global investors will take it? Not just this incident in an isolated fashion but the fact that they have had to deal with news on scams and quite a few of them over the last month or so. On the margin do you think it can affect sentiment for them?
A: These things I have noticed, even if they do affect sentiment, these are all temporary things. After some time it is back to normal business because it really doesn’t impact the economy as such, it doesn’t impact the earnings of companies. So these are more sentimental issues and past experience has always been that when these sort of panics happen it is always better to buy rather than sell.
Mayur Says:
November 25th, 2010
Posted at: 12:02 am
Hi Kartik, Sir ji.. which is better to invest with.. Claris life. or MOIL.?
sanjoy Says:
November 25th, 2010
Posted at: 12:06 am
hi kartik sir can u give any prediction on tulsi extrusion.i have 300 @ 90. please suggest what i will do
varun Says:
November 25th, 2010
Posted at: 1:48 am
hi can anybody help me on the real estate sector....m holding Omaxe 160 shares n can't decide whether to hold or sell. Is it looks like in the near future to rise up anytime near a month.....or should i sell it off.
pls help anyone having ideas with basic facts.
CB Says:
November 25th, 2010
Posted at: 2:18 am
Hi Tejas, most welcome
Hi pankaj, yes, it has been seeing some promoter selling lately, would be better if you exit 50% at CMP and keep the rest for Long term
Hi arun bj, thanks for the update
Hi Mayur, MOIL is good
Hi sanjoy, it has been seeing profit booking lately, dont avg it yet, hold it for 2-3 months time
Hi varun, Real estate stocks have been trading weak lately, they might require some time to recover, if possible hold it for 1-2 months, it can see 180
Kartik Says:
November 25th, 2010
Posted at: 8:05 am
Hi Priyanka, GM, yes
varun Says:
November 25th, 2010
Posted at: 1:38 pm
Thanks CB, will see to it.
anil Says:
December 23rd, 2010
Posted at: 1:19 pm
hi CB,
please suggest upto what value ashtivinayak will go downward....at what price one should enter this stock.