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Kranthi Says:
August 3rd, 2010
Posted at: 10:54 am
CB,
Holding HCLTech 1 lot of 400 August CALL @ Rs. 7 (Eq price: 390.50)
Currently it is Rs. 8.45
will it cross 400 level or not ? Should I wait or exit ???
CB Says:
August 3rd, 2010
Posted at: 10:55 am
Hi amit, in small quantity
Hi kannu, can see 144. hold it
Hi som, not sure yet
Tinnyrocks Says:
August 3rd, 2010
Posted at: 10:57 am
Everyone is saying that PPL’s having Right’s Issue @ 19.5 are booking profits. While no one is having average price less then 27 after right issue. Then how can they book profits ?? And What to do with IBSEC ?? Should i short it at 26.30 with a target of 25 ??..
Kris Says:
August 3rd, 2010
Posted at: 10:58 am
Ok, Thank you CB.
I saw that you told someone, it is a good time to enter YesBank's Aug derivative as it could see 320. Is it still a good buy @311.40? If so please suggest SL.
Best Regards,
Kris
Tinnyrocks Says:
August 3rd, 2010
Posted at: 10:58 am
YOUR VIEWS REQUIRED ON IDBI BANK.. LONG OR SHORT SIDE TARGETS PLZ..
Kranthi Says:
August 3rd, 2010
Posted at: 10:59 am
CB,
Shall I take 1 lot of Nifty PUT 5400 August at this level ?
Investment = 50 * 74 = 3700
mythreyi Says:
August 3rd, 2010
Posted at: 10:59 am
WHats the target for hero honda today..thanxs so much
Imran Says:
August 3rd, 2010
Posted at: 10:59 am
Bought EVERONN today at 531 with an intraday target of 538. if it didnt touch the target can i take delivery or it is risky?
Kumar Says:
August 3rd, 2010
Posted at: 11:00 am
Thanks CB... recently bought fcssoft 3000 @ 2.60 (accumulate in deep) should if book profit if it cross Rs. 3 (or consider it if cross 3 upword trand & hold for long term) please suggest
Kris Says:
August 3rd, 2010
Posted at: 11:01 am
Dear CB,
You seem to have missed out my query on YES Bank
Best Regards
Kris
Tinnyrocks Says:
August 3rd, 2010
Posted at: 11:01 am
YOUR VIEWS REQUIRED ON IDBI BANK.. LONG OR SHORT SIDE TARGETS PLZ...
Saurabh Says:
August 3rd, 2010
Posted at: 11:04 am
Hi,
I am holding GNFC shares at a price of Rs.127 and have been holding it since Jan,2010. The CMP is 116 (approx.) Should I continue to hold it or book the losses?
If the outlook is +ve on this sector then I can continue to hold it as I don't want to book losses