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MD Says:
May 7th, 2010
Posted at: 12:46 am
hi cb
i am holding herohonda futures @ 1910
sesagoa futures @ 395
if there is a big gap down opening...then what should i do? pl advice. should i exit at opening & then re-enter lower levels?
RAAM Says:
May 7th, 2010
Posted at: 12:48 am
Hmmmm...I never seen such a huge fluctuation that is 900 to 400 points in 5-10 mins..I dont know where our markets will go.. Wt is the reason is the Greece bailout leading to this??
gururaj Says:
May 7th, 2010
Posted at: 12:49 am
dow nearly fell 1000 points now its rebounding !! is everything ok ?
CB Says:
May 7th, 2010
Posted at: 12:50 am
Hi gururaj, Yes, its much better now. was more than 1000 points down some time back
Hi MD, yes, will need to hold. no point exiting on gap down. maybe need to avg
Hi RAAM, yes, greece issues
MD Says:
May 7th, 2010
Posted at: 12:52 am
hi cb
is there any fear of double dip recession?
MD Says:
May 7th, 2010
Posted at: 12:53 am
dear cb
pl give me some best stocks (who are in overbought region) as on today which can be shorted (future) in case of great fall in market?
das Says:
May 7th, 2010
Posted at: 1:01 am
Dear cb is punj loyd in entering cmp thanks
MD Says:
May 7th, 2010
Posted at: 1:02 am
dear cb
what about equities which are in -20% losses? should we exit at loss & re-enter after great cut in indexes? pl advice. or to hold on. which is better??
Dukhi Aatma Says:
May 7th, 2010
Posted at: 1:02 am
Dear CB Dow ka toh baj gaya baaja?????????????????????
Ab kal hamari bari hai Ab kya hoga?????????????????/
I had long position in tata power fut may series plz guide me
suneer Says:
May 7th, 2010
Posted at: 1:08 am
Dont panic buy on dip
haresh thakkar Says:
May 7th, 2010
Posted at: 1:11 am
i am having ... hmt 500 itc 100 and punj 100?? shud i avg all tomoro with same quantity??? whts ur view ??? nd whr do u see mphasis 2moro??
Sana Says:
May 7th, 2010
Posted at: 1:32 am
Dear CB/Kartik,
Pls suggest few good stocks to buy during this ongoing carnage. Thanks.
Abhishek Says:
May 7th, 2010
Posted at: 1:57 am
Hello n Good day once again,
now this Global crisis has started taking a toll.Do you think Punjlloyd bought at Rs 167 is giving risk signal already??as it is the stock is almost at 52wk low and not performing as expected n wth the Greece confusion and sensex tumbling is it liable to go down more.What should be a right action?Also I have Suzlon at 72, Orient paper at 63 and Hexaware at 82.Trust will be able to get out of Orient and hexa,suzlon intend to keep till december 2010.Your views on my profile please??
Best regards
Abhishek