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CB Says:
November 20th, 2009
Posted at: 11:29 pm
Hi som, yes.. it was totally unexpected..anyways now since stock has reacted to it and also correction quite a bit should consolidate at these levels and move higher
Hi kp, it did see some profit booking today..also news of increasing debt created some selling pressure. you can check for their futures on cnbc.com or bloomberg.com i guess.
guru Says:
November 20th, 2009
Posted at: 11:45 pm
hi sir what do u c market view now for monday will it turn to read or nno as europe and U.S trading red
guru Says:
November 20th, 2009
Posted at: 11:50 pm
till what time can i hold put of nov expiry ,is it good to sell of on monday morning 4900 put
guru Says:
November 20th, 2009
Posted at: 11:53 pm
sir sorry to ask u again , can i hold that expiry till monday or carry on till tues
guru Says:
November 20th, 2009
Posted at: 11:57 pm
last question for tonight how many years of exp u have sir in trading seeing ur accury even 18 years exp cannot give so much accuracy so only asking if u dont mind
$$$$ Says:
November 21st, 2009
Posted at: 12:03 am
C has market experience of about 4-5 years .... i guess i asked him smtime back
rana Says:
November 21st, 2009
Posted at: 12:04 am
Hi CB ,
Holding 5100 option nifty call for NOV . Will I sell it on Monday ? any upmove we can see on monday on nifty ?
Vinesh Says:
November 21st, 2009
Posted at: 12:14 am
Bad luck for me, yesterday bought 5100 put 127 sold today at 160, 2 lots. At time when nifty was around 4935, thought to buy 4900 call as thought nifty may rebound, but saw even 4900 put had shed open interest of around 1 lac shares and nifty call 5000 adding open interest, i bought 4 lots of nifty 5000 put at 78 and in minute nifty started rallying. Now at 31. Entire profit lost, infact three times loss. Plz guide me can i get levels of 70 or 80 on it or atleast 50.
creast Says:
November 21st, 2009
Posted at: 12:30 am
Hi CB
Please advice as to go long with my portfoilio or change to the stocks you suggest.
The portfolio currently i am holding consist of : OIL India @1196, NTPC @214 - both not moving, Crompton Greaves @313, MIC Electronics @ 51, REI Agro @47, ICSA @ 173 and Neyvelli Lignite @ 154. As per your call I have taken Everest Kantko @ 153. Please advice whether to churn the portfoilo. Should I sell the shares not moving and wait again for the dip in sensex and buy the shares suggested by you
igain Says:
November 21st, 2009
Posted at: 12:33 am
CB, Today entered GHCL, Dabur, Polaris and Satyam Computers for long term target.
Also any idea how is nahar investments for long term?