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  1. sujata Says:
    September 21st, 2012
    Posted at: 6:32 pm

    Hi Soumen Bose,
    the strategy that you have applied is called a protective collar, practically speaking there is more chance of nifty heading to 5900 than coming back to 5500, so in that case with every passing day you will lose the time value of the option and therefore the total premium would come down. this kind of strategy is handy when you expect a one-sided move on the eiither side of the index, lest this strategy will lose its premium, therefore since you are into the trade and the contracts are of october try getting out with a total profit by adding both the premiums paid, in case the nifty rallies to 5700 + keep a stoploss on the 5500 PE till 5720 and continue to hold the 5900 Ce for profit

    I hope this answers the query
    regards
    sujata

    CB, replies: Hi sujata, yes, positive news flow and technically too looking good. seems could head higher in near term

  2. aditya24 Says:
    September 21st, 2012
    Posted at: 6:37 pm

    sujata hi, i just want to know term double top.what it means?? should i sell at that time?.?

    thanks

    Kartik, replies: Hi aditya24, hope the link helped

  3. CB Says:
    September 21st, 2012
    Posted at: 6:41 pm

    Hi sujata, yes, positive news flow and technically too looking good. seems could head higher in near term

    Hi Raj, as of now its a hold. keep sl near 5740 for now.

    Hi ASHOK, it can test 375-380. hold it.

    Hi Soumen Bose, since these are from oct series, shall hold for 1-2 weeks. can expect another 100-150 point move


  4. Soumen Bose Says:
    September 21st, 2012
    Posted at: 6:46 pm

    Hi sujata,

    Thank you very much Sujata. Are u a technical analyst?


  5. reevu Says:
    September 21st, 2012
    Posted at: 7:07 pm

    Sir,
    20microns going down.
    Holding @145(including cost).
    Is there any possibility of recovering my investment amount in short term or may I have to exit with loss?

    Kartik, replies: Hi reevu, 20 Microns is seeing prfit booking after its recent rally, keep a SL at 132 and hold it

  6. appu Says:
    September 21st, 2012
    Posted at: 7:23 pm

    hi,
    i hold PNB CE 820 @ 16.50/- CAN I HOLD OR EXIT.
    WHAT IS NEXT TARGETS FOR PNB ON 24/09/2012
    REGARDS

    Kartik, replies: Hi appu, book on Monday on rise, has rallied quite a lot lately

  7. Abhija Says:
    September 21st, 2012
    Posted at: 7:24 pm

    Hi sir when will be the midcap and smallcap stocks showing uptrend ?

    Kartik, replies: Hi Abhija, should follow the trend in 1-2 days

  8. Abhija Says:
    September 21st, 2012
    Posted at: 7:24 pm

    Hi sir when will be the midcap and smallcap stocks showing uptrend ?

    Kartik, replies: Hi Abhija, should follow the trend in 1-2 days

  9. sujata Says:
    September 21st, 2012
    Posted at: 7:27 pm

    Hi Soumen Bose,

    I learn things following this board and what CB/Kartik has to comment on the issues posted, I have been in this board for the last 3 yrs and these guys do a commendable job here.

    thanks
    Sujata

    Kartik, replies: Hi sujata, thanks for your comments

  10. sujata Says:
    September 21st, 2012
    Posted at: 7:30 pm

    Hi aditya24,
    CB and kartik are the best persons to explain the strategy when u see a double top, however you can visit this link and give it a read and base your strategy http://stockcharts.com/help/doku.php?id=chart_school:chart_analysis:chart_patterns:double_top_reversal

    regards
    sujata

    Kartik, replies: Hi sujata, thanks for your comments

  11. aditya24 Says:
    September 21st, 2012
    Posted at: 7:58 pm

    thanks for link

    Kartik, replies: Hi aditya24, hope the link helped

  12. nattu bhai Says:
    September 21st, 2012
    Posted at: 8:39 pm

    bought exide futures at 150.45 oct series. but it closed at 148.5. is ok to hold what should be the stoploss and target. pls

    Kartik, replies: Hi nattu bhai, yes, continue to hold it for another 2-3 days, can give a bounce, keep a SL at 143 (cash)

  13. S.R.PRAKASH Says:
    September 21st, 2012
    Posted at: 8:40 pm

    Today bought 5600pe at 19, this month i got heavy loss, if any chance to get profit frm this before expiry, pls suggest

    Kartik, replies: Hi S.R.PRAKASH, hold the PE with a SL at 5710, lets wait to see how Global ques manage to close tonight

  14. RAJ Says:
    September 21st, 2012
    Posted at: 8:40 pm

    Hi Kartik,
    What is the target and stop loss for R.S software,Shashun Pharma,Powergrid?

    Kartik, replies: Hi RAJ, R.S software,Shashun Pharma have already rallied quite a lot, can see some consoildation ahead, Powergrid can seee around 140 in the short run

  15. Madhu Says:
    September 21st, 2012
    Posted at: 8:42 pm

    Hi Kartick,

    Can i buy DLF 240 Call?

    Kartik, replies: Hi Madhu, it has rallied quite a lot in the past few days, can be a risky bet to enter it now, avoid it

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