Tuesday, June 29, 2010

29/06/2010

1)BUY STERLITE 175CA@4.5 TGT 7(made on same day)/9(tgt 2 failed exit on 1st july)
 2)BUY NIFTY 5400ce @62&56 TGT 72/78 SL 49.( exit @49 intra stoploss triggered )
3)RANBAXY 460 CA @13 TGT 17( tgt comes 30jun ) / 21 ( target failed ).
4)NIFTY buy nifty fut@5285 sl 5265 tgt 5310/5340 ( stop loss triggered )
5)NIFTY BUY @5258 SL 5245 exit @5275 ( stoploss triggered for safe traders and low made 5240.10 only and riskey traders exit @ 5275)
6)RISKEY CALL BUY 5300CE @91 SL 85 TGT 120/140/155 BTST( exit @96 intra due to over night risk )

Monday, June 28, 2010

28/06/2010

1)SURESHOTCALL::BUY RCOM 220CA ABOVE 4.0&2.85 (on 30jul) SL 2 TGT 8/10+( stoploss triggered @2 and only made high of 6.50 on sameday )
2)SURESHOTCALL::BUY NIFTY 5500PE ABOVE 251 TGT 500/700 FOR POSSITIONAL 5- 7 DAYS (not triggered)
3)SURESHOTCALL::BUY ICICI ABOVE 34( only made high of 33.95 call not triggeredTGT 70.
4)BUY NIFTY 5300CA AT 115(low110.15) SL 105 TGT 139/145 INTRA( 50%book @126 and made high of 134.8 )
5)BUY NIFTY fut @5285 sl 5260 tgt 5330/5350/5370.(call not triggered 5291 is low)

Saturday, June 26, 2010

25/06/2010

1)INVESTMENT::DIGJAM @12.50 SL TGT 15++(10 DAYS)(only made high of 14.3 on 25/6 ).
2)SURESHOT ::PUNJ LOYD 140CA ABOVE 4.5 TGT 9/12/15 SL 3(not triggered)
3)TATAMOTORS 780PE@30 TGT 60/80.(we exit @80 )
4)NTPC 190 PA 1.6 SL 1.5 TGT 3/4.5/6,MAY BE A JACK POT(sl triggered)
5)BUY NIFTY FUT 5280 TGT 5300/5320/5340.(made high of 5333)
6)BUY NIFTY 5400CE @62 TGT 75/80/85.(tgt 75 achieved)
7)BUY 5300PE @108 TGT LATER(exit 150 at market level on 30 jun2010)
8)POSSITIONAL SELL NIFTY FUT@5333 TGT 5200/ 5050/4900/4800 IN JUNE.(IF NIFTY CROSS 5180 IN SPOT )(we exit @5200)
9)INTRA SELL @5335 TGT 5290/5270/5255.(MADE LOW OF 5273)

Friday, June 25, 2010

jun 2010 CONTRACTS

NIFTY FUTURE 807 points with 92.86% accuracy

STOCK FUTURE with 100% accuracy

NIFTY OPTION 557.2 points with 880.46% profits accuracy

STOCK OPTION 597.5 % profits with 80% accuracy

INVESTMENT CALLS with 100% accuracy.

INTRADAY CALLS 25% accuracy.

Thursday, June 24, 2010

24/06/2010

1)SURESHOT CALL::NAGARFERT (JULY2010)32.5CE@1.10 SL 0.75 TGT 2(tgt done on 5th july)/3.
2)INVESTMENT CALL ::NAGARFERT EQ BUY ABOVE 31.20 TGT 32.10(market heavly down but our call achieved tgt1 on 29thjun)/32.8(2nd july done) SL 29.50.
3)INTRADAY CALL::SELL NIFTY FUT AROUND 5356 SL 5375 TGT LATER(NIFTY MADE ONLY HIGH OF 5353.20 ,CALL FAILED)
4)EXPIRY SPL:: BUY NIFTY 5300PE@2.8 SL 0 TGT 20+++++++++(BOOKED @14,MADE HIGH OF 14.90,PROFIT 400%)

Wednesday, June 23, 2010

23/06/2010

1)INTRADAY CALL:: SELL NIFTY FUT @5305 TGT LATER(EXIT COST TO COST)
2)INVESTMENT CALL:: GLOBUSSPR BUY @144.55 SL 139 TGT LATER(NOT EXECUTED)
3)BUY BHAR AIRTEL 260PA ABOVE 2.10 TGT 3.5/5 EXPIRY(NOT EXECUTED)
4)HUL 260CA BUY @CMP( 2.40 ) TGT 6.(MADE HIGH OF 12.35)
5)RNRL (jul2010) 65CE @ CMP  (4.40)TGT 6(MADE HIG OF 7.05)

Tuesday, June 22, 2010

22/06/2010

1)SELL NIFTY FUT BELOW 5320 SL 5345 TGT 5280/5250.(THIS IS PER MARKET CALL SO IT EXECUTED AT MKT END WE CONVER TO STBT,TGT 5280 DONE AND EXIT)
2)BUY UNITECH 75CE 0.7 sl 0.4 TGT 1.5/2.(MADE HIGH ON 1.9
 ON EXPIRY)
3)INTRADAY::BUY NIFTY 5400PE@65 SL 58 TGT 85+++++++(MADE HIGH OF 89)

Monday, June 21, 2010

21/06/2010

1)BUY RNRL (JUL2010) 65PE ABOVE 4.7 SL 1.9 TGT 8+++++++++(NOT EXECUTED)
2)SURE SHOT CALL :: BUY LT 1800CA @37 TGT 70.(NOT EXECUTED)
3)INTRADAY::BUY NIFTY  45 5400PE @ 54 SL 20 TGT 65/75/85(MADE HIGH OF 89)
4)STBT CONVERT TO POSSITIONAL CALL::SELL NIFTY FUT 5340 TGT 5310/5285/5260.(CLOSED AT 5285 ON 23rd)
5)INTRADAY CALL::5300PE @20 SL 10 TGT 40/60.(CLOSE AT 22)

Friday, June 18, 2010

18/06/2010

1)POSSITIONAL SELL NIFTY FUT 5295(HIGH MADE ONLY 5296.80).(exit cost to cost on expiry)
2)EXPIRY SPECIAL :: BUY 5200@19 SL 0 tgt 100+++++++++(call triggered)( sl triggered with 100%loss)
3)SELL VOLTAS @189 SL 191 TGT LATER( stoploss triggered).
4)INTRADAY:: GVK PILS BUY ABOVE 45.30 SL 44.7 TGT 46.5/48.(call not triggered )
5)INTRADAY::PETRO NET SELL BELOW 78.1 SL 79 TGT 75.50/74.(exit cost to cost)

Thursday, June 17, 2010

17/06/2010

1)F&O::SELL DENA BANK jul2010 BELOW 90.60 SL 94.40 TGT 86.60.(call triggered)
2)SELL NIFTY FUT @5235 SL 5260 TGT 5210/5195/5170.(sl triggered)
3)INTRADAY:: SELL VOLTAS @185 SL 191 TGT LATER.(SL TRIGEER)

Wednesday, June 16, 2010

16/06/2010

1)HIDDEN GEMS::BUY ITC ABOVE 292 SL 281 TGT 305 FOR 10 DAYS.(trg done on 24th)
2)CHAMBEL FERT 65CE@1.30AND 0.9 SL 0.80 TGT 1.75/2.6.(exit @0.8 with loss)
3)INFOSYS 2700CE ABOVE 21 TGT 28/35/42.(convert to possitional target hit on 18june2010 and made high of 36)
4)POSSITIONAL SHORT @5258 SL 5278 CLOSING BASIS.(call not executed)
5)INTRADAY:: NIFTY SELL@5255 SL 5280 TGT 5240/5220/5205.(call not executed)
6)RELCAPT 720PE @12 SL 6 TGT 22 BTST.(stoploss hit on 18th)

Tuesday, June 15, 2010

15/06/2010

1)INTRA DAY::BUY NIFTY 5100PE @30 (low of the day is 29.50)TGT 37/45.(100% exit at40,it made high of 40.30 only).
2)INTRADAY::BUY INFOSYS 2800CE ABOVE 21 TGT 30+++.(call  triggered on 16th and tgt done on 18th )
3)INTRA DAY::BUY NIFTY FUT @5180 SL 5150 TGT 5205/5225/5235.(5235 done in intra and made high of 5245).
4)INTRA DAY::BUY NIFTY 5300pe@100 sl 90 tgt 135+ (sl triggered)

Monday, June 14, 2010

14/06/2010

1)INVESTMENT::HDIL EQ BUY ABOVE 239 SL 214 TGT 250/263/275.(tgt 1 done on 16 june 2010)
2)SURE SHOT::RIL 1100CE @7.5 TGT 15.(tgt done on 18th june2010,but we exit at 9 )
3)SURE SHOT::NIFTY 5200CE ONLY@40 TGT 80.(tgt done on 16th june 2010& made high of 175 on 21st)
4)INTRA DAY::NIFTY 5100CE @109 TGT 120/135.(tgt done @135 in intra).
5)INTRA DAY::NIFTY FUT BUY ONLY @5138 TGT 5151/5170/5185.(tgt done 5185 &low made 138.25)

Friday, June 11, 2010

11/06/2010

SELL NIFTY @5140-5150 SL 5175 TGT 5120/5100/4980.
OR
SELL NIFTY @5105 SL 5135 TGT 5085/5057/5035.
(TRIGGERED 5105 AND EXIT SAFE TRADERS @5105.OTHERS HOLD MONDAY)
NIFTY BREAK UP ABOVE 5140 TO LOOK 5179/5203/5220 BTST.(tgt done on 15th june 2010& made high of 5245)

Thursday, June 10, 2010

10/06/2010

NO CALLS
NIFTY HOLDS 4930 THEN TGT 5150 CLOSING ABOVE 5165 NF WILL 5250/5350.

Wednesday, June 09, 2010

09/06/2010

1)INTRADAY::SELL NIFTY @4998 TGT 4982/4948/4927( tgt 1 achieved and made low of 4953.10)
2)POSSITIONAL::RELIANCE CAPITAL 680CE@20 TGT 30/35.LOTSIZE 276.(tgt done on 14june2010 and made high of 87.90 on 16june2010)
3)BUY NIFTY 4800PE@68 SL 60 TGT 80/90/100 INTRA.(made high of 92.30)

Tuesday, June 08, 2010

08/06/2010

1)INTRA DAY::SELL NIFTY 5040 TGT 4940 ( made high of 5054 and low of 4937.65).
2)INTRADAY NIFTY PE 5000 @90 (low of 84.35) TGT 135+++ (made high of 149.50)
WE BOOK PROFITS IN NIFTY 5300PE@350,4800PE@70

Sunday, June 06, 2010

07/06/2010

1)HOLD SHORT NIFTY@5095&5130 SL 5145 TGT 5065/5025/5005
NXT BELOW SURE SHOT 4980/4965.
2)HOLD NIFTY4800PE @44  TGT 66 / 77 / 88.
3)HOLD NIFTY FUT 5300PE @257/235 tgt 350++
4)ICICI 840 PE 25-30 TGT 60/75/100.SL SPOT LVL 850.(made high only 52)

Friday, June 04, 2010

04/06/2010

NIFTY SELL @5095&5130(high only 5134)SL 5115 & HOLD SHORTS TGT 5065/5035/5005.
HOLD NIFTY 5300PE&4800PE.

Thursday, June 03, 2010

03/06/2010

1)POSSITIONAL PUT NIFTY5300PE@257&235 SL 245 TGT 350++.(low is 219)

2)POSSITIONAL:: BUY NIFTY 4800PE@44(low is 34 )
3)SELL NIFTY FUT BELOW 5058(low is 5061.55) SL 5088 TGT 5040/5020/5005.sell not executed.

Wednesday, June 02, 2010

02/06/2010

1) NIFTY FUT SELL 5020(high is 5019.90) TGT5005/4980/4965.(TGT 1 ACHIEVED @5005 ON CLOSE),REALY IT IS A BULL SWING WE MISS IT. 2)POSSITIONAL PUT NIFTY5300PE@257 SL 245 TGT 350++.(not triggered)
3)POSSITIONAL:: BUY NIFTY 4800PE@44(not triggered )

Tuesday, June 01, 2010

01/06/2010

1)INTRADAY::SELL NIFTY FUT @5040 SL 5060 TGT 5025/5005/4990--VEEEEEEEEEEEE .(tgt made@4940).
WE EXIT OUR BTST OF 5300pe,4800pe,4900pe IN NIFTY OPTIONS WITH PROFIT.
NIFTY FUT SELL WE MADE @5020AS BTST(on 31may2010 and  EXIT @4940)

DOUBLE MONEY CALLS OF NOVEMBER2013

DOUBLE MONEY CALLS OF NOVEMBER2013