Tuesday, 1 April 2014

HITS & MISSES : MARCH 2014



        

TOTAL PROFIT THIS MONTH IN f&O ALONE: RS 3,74,087

Total NUMBER OF CALLS:25

HITS: 20    MISSES:     5

 
HITS:

MULIBAGGER GRAND MISSION SUCCESS

BUY FINOLEX CABLES @ 52  TGT 100 PLUS IN 1 YEAR TIME TOLD TO BUY IN JUNE 2013 AND AT 65 IN NOV 2013  STOCK HIT 113 STILL OUR CLINETS ARE HOLIND THE STOCK TO GET TRIPPLLED

 

1.  BUY BPCL @ 375  LOT SIZE 1000  TGT 10 % MOVE HIT 442  PROFIT 67000 RS AND GAVE SELL CALL ON 19 MARCH SELL BPCL @ 458.50 SL 462 TGT 440-438  LOT SIZE 1000 TGT ACHIVED 20500 RS—TOTAL PROFIT 87500 IN BPCL ALONE

 

2.  CALL OR THE MONTH: BUY 1000 AMTEK AUTO @ 102 AND AGAIN AVG 1000@ 94 AVG RATE  2000 SHARES @98  HIT 115 EXITED 1000 @ 114 EXITED REST 1000 @ 123  PROFIT 41000 RS  STOCK WENT ON TO HIT 155

3.  BUY CENTURY TEXT @ 330  TGT 375-400 LOT SIZE 1000 HIT 370 PROFIT 40000 RS

 

4.  BUY SRIRAM TRANSPORT @ 695 SL 3% LOWER TGT 750-8000 LOT SIZE 500  TGT HIT  775 PROFIT 40000 RS

 

 

 

                            FUTURES & OPTIONS
                                                                                                                       

  

1.     BUY RELAINCE 820 CA @ 10.50 HIT 85 BOOKED PROFIT AT 45 RS  PROFIT 8562 RS 820 CALL WENT ON TO HIT 95 ALSO

2.     BUY SSLT @ 180  TGT 190-95 LOT SIZE 2000  HIT 193 PROFIT 26000 RS

3.     SELL NIFTY FUT @ 6570  SL 6650 LOT SIZE 50 HIT 6476 PROFIT 4700 RS

4.     SELL BANK NIFTY @ 12230 SL 12300 LOT SIZE 25  HIT 11942  NEXT DAY PROFIT 7200 RS

5.     SELL KTK BANK @ 111.75 SL 113 TGT 108 LOT SIZE 4000  TGT HIT INTRA PROFIT 15000 RS

6.     SELL ICICI BANK @ 1236 SL 1250  HIT 1194  LOT SIZE 250 PROFIT 10500 RS

7.     SELL ONGC @ 313 SL 319 TGT 300 LOT SIZE 1000 HIT 307 PROFIT 6000 RS

8.     SELL KTK BANK @ 112.50 SL 113.50 TGT108 LOT SIZE 4000 HIT 109 IN 10 MIN PROFIT 14000 RS

9.     SELL ARVIND @152.40 SL 153.50TGT 148-174 LOT SIZE 4000 HIT 148.75 INTRADAY PROFIT 14600 RS

10.                        BUY WIPRO 560 @ 8.50  TGT 20-30 LOT SIZE 500 HIT 21 PROFIT 6250 RS

11.                        BUY SAIL @ 58.35 SL 56.75  TGT 60-6.30 LOT SIZE 8000 TGT HIT PROFIT 16000 RS

12.                        BUY UCO BANK @ 66.50 SL 64 TGT 74 LOT SIZE 4000 HIT 72 PROFIT 22500 RS

13.                        BUY SBIN 1750 CA@ 15 RS NO SL LOT SIZE 125 HIT 100 PROFIT 10625RS

14.                        BUY HEROMOTOCOP 2200 CA @ 10 RS NO SL  LOT SIZE 125 HIT 50 PROFIT 6250 RS

15.                        BUY CENTURY TEXTILES 350 CA @ 2.50 LOT SIZE 1000 HIT 11.30 INTRA PROFIT 8800RS

16.                        BUY SRIRAM TRANSPORT @ 690 SL 3% LOWER TGT 750 LOT SIZE 500 HIT 750 PROFIT 27500 RS

17.                        BUY ANDHRA BANK @ 61 SL 60 TGT 65 LOT SIZE 4000  TGT HIT PROFIT 20000 RS



                                              MISSES:

1.     BUY UNITECH 10 @ PE @.20 ps loss 2400 rs

2.     BUY TATACOM @ 291  SL 285 HIT LOT SIZE 2000 LOSS 12000 RS

3.     BUY APOLLO TYRES 14 PE >50 PS SL .25 PS  LOT LISE 4000 LOSS 1000 RS

4.     SELL MRF FUT AT 22080 SL 22200 TGT 21500 CAME DOWN BUY 100 RS AFTER SELL CALL AND THEN WENT ON TO HIT SL  LOSS 15000 RS

5.     BUY HINDALCO 125 CA@ .50 LOT SIZE 2000 LOSS 1000 RS

 

 

                                    CASH CALL

THE CASH CALLS THIS MONTH GIVEN TO PAID CLIENTS WHICH HAVE NOT MOVED UP SIGNIFICANLTY SO CAN’T BE PUBLISHED IN THE BLOG

1.     BUY HIND PETRO @ 265  HIT 300

2.      BUY AARTI DRUGS @ 240 HIT 289

3.      BUY MIRZA @ 27 TGT 32-35 HIT 37

4.      BUY AARTI INDUSTIRES AT 110  HIT 132

5.      BUY TRF@ 147-153 HIT 168

6.     BUY VIP @ 70-73  BOOKED PROFIT AT 96

7.     BUY SELAN @325 HIT  523


 

 

 

 

 (I HAVE NOT CALCULATED THE PROFITS MADE IN CASH CALLS AS I HAVE NOT IDICATED QUATITY)




Friday, 28 March 2014

IS TATACHEMICALS ALL SET TO HIT 350?

Tata Chemicals –

The stock was waiting for a breakout since last 2-3 weeks.
Today the stock gave a breakout above 275 and jumped to 290 + today
the breakout is an indication of a long term trend change

. Investors can look to accumulate the stock at 285-275 with a long term upside target of 350-380.

Any Dips to 250-235 still remain a buying zone.

"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com 

TATA COMMUNICATION HEADING T0WARD 320

TATA COMMUNICATION : Big Triangle breakout For 320 Tgts buy abv 290-292  sl 285  on closing basis-MSG GIVEN TO CLIENTS 1 WEEK BACK UNLUCKY WE GOT STOPPED OUT SEE TODAY STOCK HIT 305


"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com 

SRIRAM TRANSPORT AND FINANCE HEADING TOWARDS 800 PLUS

MSG GIVEN 2 DAYS BACK TO OUR CLIENTS

BUY SRIRAM TRANSPORT AND FINANCE BETWEEN 685-695 SL 3% LOWER TGT 750-800 AND HIGHER --- NOW HIT 740 STILL LOOK TOO HOT FOR 800


"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com 

Godrej Properties – Long term Buy


RECOMMENDED TO CLIENTS ON FEB 25 TH @155-160 FOR  TGT 200 TODAY STOCK HIT 196

Godrej Properties Technical View:
-> The stock has been in a downtrend for the last many months.
-> Recently the stock has seen an increase in volumes and a falling wedge pattern being formed.
-> A falling wedge pattern indicates a major long term trend change. Sustaining above 170 would be the confirmation of a breakout.
-> Accumulate Godrej Properties at 155-160 with a stoploss of 145 and a target price of 200-250 in medium term.


"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com 

Tuesday, 25 March 2014

BUY VIP AND ENJOY YOUR SHORT TERM JOURNEY

ITS  TIME TO TAKE A SMALL RIDE  WITH  VIP

RECOMMENDED TO CLIENTS TO BUY THIS STOCK ON MARCH 4 TH AT 70-73 LEVELS EXITED COMPLETELY AT 96 TODAY WITH WHOPPING 35  % RETURNS IN JUST 3 WEEKS TIME




VIP Inds –

The stock has just broken above its recent highs and a cup and handle pattern.
Volumes are better in last few days which is a strong sign.
Buying can be initiated at 73-70 with a medium term view.
Upside target would be 90 or higher.

"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com 

Thursday, 20 March 2014

GRAND SUCESS STORY OF EICHER MOTORS

Breakouts lead to HUGE out performance when the breakout move works in your favor. Let me share one success story and I would be sharing many such success stories in next few days.


Here’s the Weekly Chart of Eicher Motors

Eicher Motors managed a breakout above 1400 in September 2011 after a period of one year. The launch pad for the breakout was 50 week moving average, which became the key level to monitor the technical structure through the breakout journey.
Eicher Motors post Breakout above 1400 rallied to 1750 and by December 2011 pulled back to 1400. Four months into the Breakout and no progress but as a breakout watcher – that’s the patience one has to exercise to make the best use of this technical structure.
Eicher Motors then took off in 2012 from 1400 and never looked back. In following two years – despite bad market environment: stock rallied 280%.
Breakouts are better suited for long term Buy and Ride Investment. It’s not a great strategy to do quick trading. Having said that: one should take all profits that come in very short period of time and then look to re-enter on consolidation and pullback.

Break outs are always fun to track.Keep visiting this page to get next multibaggers


"We don't only tell you what stocks did, we tell you why, and we tell you where stocks are headed next. How? By tracking the psychology of the markets, tracking patterns and indicators that reveal where stock prices are trending, giving us high probability trade opportunities."
We invite you to become Premium member of the website and get access to all our recommendations. WE just charge 2500 rs/pm .To join us plz mail us to trendzofmarket@gmail.com