Equity
MANAPPURAM FIN may fall like hellas you can see the chart it has completed its 7 waves and now it may show a big fall
----------------------------------------------------------------------------------------------------------------
below 153 it looks very weak
--------------------------------------------
keep stoploss and trail it if you are going to short this....
-------------
thanks..
AMBUJACEM buy signal at 246/240 , Broke its resistanceI will look at buying AMBUJACEM because :
Ambujacem has broken its major resistance.
It has high chances of reaching 290 levels .
It has broken the resistance and that resistance may act as support .
Entry : 246/240
Target : 270/290
Stop loss : 230
Positional view for all NIFTY 50 stocks for Feb 02 2021ADANIPORTS
=============
Current Position is Buy, bought on 01-FEB-2021 at 515.07
Action for Next Trading Day: Continue LONG and reverse to SHORT if ADANIPORTS closes below 534.69
Performance since 28 OCT 2020
=============================
Rs 263.86 Profit per share with 17 Winning Trades and 6 loss Trades. 73.91% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 13-JAN-2021 -4.47
Buy 13-JAN-2021 to 15-JAN-2021 12.59
Sell 15-JAN-2021 to 19-JAN-2021 10.64
Buy 19-JAN-2021 to 22-JAN-2021 22.94
Sell 22-JAN-2021 to 01-FEB-2021 25.72
ASIANPAINT
=============
Current Position is Buy, bought on 01-FEB-2021 at 2452.85
Action for Next Trading Day: Continue LONG and reverse to SHORT if ASIANPAINT closes below 2435.56
Performance since 28 OCT 2020
=============================
Rs 1337.30 Profit per share with 11 Winning Trades and 2 loss Trades. 84.62% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 04-JAN-2021 to 05-JAN-2021 -12.19
Buy 05-JAN-2021 to 12-JAN-2021 63.80
Sell 12-JAN-2021 to 19-JAN-2021 215.33
Buy 19-JAN-2021 to 22-JAN-2021 95.49
Sell 22-JAN-2021 to 01-FEB-2021 257.65
AXISBANK
=============
Current Position is Buy, bought on 28-JAN-2021 at 643.15
Action for Next Trading Day: Continue LONG and reverse to SHORT if AXISBANK closes below 698.10
Performance since 28 OCT 2020
=============================
Rs 289.55 Profit per share with 15 Winning Trades and 4 loss Trades. 78.95% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 14-JAN-2021 to 19-JAN-2021 14.95
Buy 19-JAN-2021 to 22-JAN-2021 6.45
Sell 22-JAN-2021 to 25-JAN-2021 14.48
Buy 25-JAN-2021 to 27-JAN-2021 -6.70
Sell 27-JAN-2021 to 28-JAN-2021 5.67
BAJAJ-AUTO
=============
Current Position is Buy, bought on 01-FEB-2021 at 4121.68
Action for Next Trading Day: Continue LONG and reverse to SHORT if BAJAJ-AUTO closes below 4091.93
Performance since 28 OCT 2020
=============================
Rs 1431.48 Profit per share with 14 Winning Trades and 2 loss Trades. 87.50% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 21-DEC-2020 to 22-DEC-2020 61.75
Buy 22-DEC-2020 to 05-JAN-2021 235.47
Sell 05-JAN-2021 to 08-JAN-2021 31.25
Buy 08-JAN-2021 to 29-JAN-2021 581.06
Sell 29-JAN-2021 to 01-FEB-2021 -71.63
BAJAJFINSV
=============
Current Position is Buy, bought on 01-FEB-2021 at 8790.24
Action for Next Trading Day: Continue LONG and reverse to SHORT if BAJAJFINSV closes below 9477.17
Performance since 28 OCT 2020
=============================
Rs 5646.88 Profit per share with 10 Winning Trades and 1 loss Trades. 90.91% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 07-JAN-2021 74.69
Buy 07-JAN-2021 to 11-JAN-2021 275.32
Sell 11-JAN-2021 to 19-JAN-2021 664.52
Buy 19-JAN-2021 to 28-JAN-2021 589.19
Sell 28-JAN-2021 to 01-FEB-2021 229.76
BAJFINANCE
=============
Current Position is Buy, bought on 01-FEB-2021 at 4776.80
Action for Next Trading Day: Continue LONG and reverse to SHORT if BAJFINANCE closes below 4987.94
Performance since 28 OCT 2020
=============================
Rs 3208.14 Profit per share with 15 Winning Trades and 4 loss Trades. 78.95% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 12-JAN-2021 22.99
Buy 12-JAN-2021 to 13-JAN-2021 -22.64
Sell 13-JAN-2021 to 19-JAN-2021 237.08
Buy 19-JAN-2021 to 22-JAN-2021 263.66
Sell 22-JAN-2021 to 01-FEB-2021 251.97
BHARTIARTL
=============
Current Position is Buy, bought on 01-FEB-2021 at 559.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if BHARTIARTL closes below 571.58
Performance since 28 OCT 2020
=============================
Rs 258.48 Profit per share with 16 Winning Trades and 4 loss Trades. 80.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 30-DEC-2020 to 01-JAN-2021 4.31
Buy 01-JAN-2021 to 05-JAN-2021 1.43
Sell 05-JAN-2021 to 06-JAN-2021 -1.99
Buy 06-JAN-2021 to 18-JAN-2021 79.06
Sell 18-JAN-2021 to 01-FEB-2021 36.05
BPCL
=============
Current Position is Buy, bought on 28-JAN-2021 at 385.41
Action for Next Trading Day: Continue LONG and reverse to SHORT if BPCL closes below 390.01
Performance since 28 OCT 2020
=============================
Rs 209.25 Profit per share with 15 Winning Trades and 4 loss Trades. 78.95% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 07-JAN-2021 1.50
Buy 07-JAN-2021 to 15-JAN-2021 29.36
Sell 15-JAN-2021 to 19-JAN-2021 7.81
Buy 19-JAN-2021 to 22-JAN-2021 -6.96
Sell 22-JAN-2021 to 28-JAN-2021 20.62
BRITANNIA
=============
Current Position is Buy, bought on 01-FEB-2021 at 3539.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if BRITANNIA closes below 3508.19
Performance since 28 OCT 2020
=============================
Rs 383.26 Profit per share with 13 Winning Trades and 4 loss Trades. 76.47% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 31-DEC-2020 to 07-JAN-2021 20.65
Buy 07-JAN-2021 to 15-JAN-2021 88.11
Sell 15-JAN-2021 to 21-JAN-2021 43.41
Buy 21-JAN-2021 to 22-JAN-2021 14.30
Sell 22-JAN-2021 to 01-FEB-2021 80.00
CIPLA
=============
Current Position is Sell, sold on 29-JAN-2021 at 832.05
Action for Next Trading Day: Continue SHORT and reverse to LONG if CIPLA closes above 814.88
Performance since 28 OCT 2020
=============================
Rs 281.51 Profit per share with 15 Winning Trades and 2 loss Trades. 88.24% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 07-JAN-2021 to 12-JAN-2021 23.19
Sell 12-JAN-2021 to 19-JAN-2021 46.79
Buy 19-JAN-2021 to 21-JAN-2021 16.92
Sell 21-JAN-2021 to 25-JAN-2021 4.90
Buy 25-JAN-2021 to 29-JAN-2021 13.64
COALINDIA
=============
Current Position is Buy, bought on 01-FEB-2021 at 127.28
Action for Next Trading Day: Continue LONG and reverse to SHORT if COALINDIA closes below 128.09
Performance since 28 OCT 2020
=============================
Rs 65.64 Profit per share with 12 Winning Trades and 5 loss Trades. 70.59% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 07-JAN-2021 0.16
Buy 07-JAN-2021 to 15-JAN-2021 9.02
Sell 15-JAN-2021 to 19-JAN-2021 4.67
Buy 19-JAN-2021 to 21-JAN-2021 -1.36
Sell 21-JAN-2021 to 01-FEB-2021 12.21
DIVISLAB
=============
Current Position is Buy, bought on 01-FEB-2021 at 3418.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if DIVISLAB closes below 3470.98
Performance since 28 OCT 2020
=============================
Rs 1583.62 Profit per share with 18 Winning Trades and 5 loss Trades. 78.26% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 19-JAN-2021 241.44
Buy 19-JAN-2021 to 22-JAN-2021 -5.99
Sell 22-JAN-2021 to 25-JAN-2021 18.74
Buy 25-JAN-2021 to 27-JAN-2021 -8.95
Sell 27-JAN-2021 to 01-FEB-2021 138.86
DRREDDY
=============
Current Position is Sell, sold on 27-JAN-2021 at 5052.40
Action for Next Trading Day: Continue SHORT and reverse to LONG if DRREDDY closes above 4509.80
Performance since 28 OCT 2020
=============================
Rs 1547.07 Profit per share with 13 Winning Trades and 5 loss Trades. 72.22% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 22-DEC-2020 to 12-JAN-2021 273.29
Sell 12-JAN-2021 to 14-JAN-2021 81.34
Buy 14-JAN-2021 to 15-JAN-2021 -23.94
Sell 15-JAN-2021 to 25-JAN-2021 208.84
Buy 25-JAN-2021 to 27-JAN-2021 -24.86
EICHERMOT
=============
Current Position is Buy, bought on 01-FEB-2021 at 2791.20
Action for Next Trading Day: Continue LONG and reverse to SHORT if EICHERMOT closes below 2813.72
Performance since 28 OCT 2020
=============================
Rs 1458.01 Profit per share with 9 Winning Trades and 3 loss Trades. 75.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 21-DEC-2020 to 22-DEC-2020 30.80
Buy 22-DEC-2020 to 15-JAN-2021 428.76
Sell 15-JAN-2021 to 21-JAN-2021 -38.78
Buy 21-JAN-2021 to 25-JAN-2021 64.43
Sell 25-JAN-2021 to 01-FEB-2021 169.23
GAIL
=============
Current Position is Buy, bought on 01-FEB-2021 at 126.74
Action for Next Trading Day: Continue LONG and reverse to SHORT if GAIL closes below 126.74
Performance since 28 OCT 2020
=============================
Rs 83.46 Profit per share with 10 Winning Trades and 5 loss Trades. 66.67% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 21-DEC-2020 to 22-DEC-2020 7.90
Buy 22-DEC-2020 to 15-JAN-2021 25.24
Sell 15-JAN-2021 to 19-JAN-2021 2.35
Buy 19-JAN-2021 to 20-JAN-2021 -1.32
Sell 20-JAN-2021 to 01-FEB-2021 11.75
GRASIM
=============
Current Position is Buy, bought on 25-JAN-2021 at 1025.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if GRASIM closes below 1107.76
Performance since 28 OCT 2020
=============================
Rs 368.35 Profit per share with 18 Winning Trades and 3 loss Trades. 85.71% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 14-JAN-2021 to 15-JAN-2021 3.90
Buy 15-JAN-2021 to 18-JAN-2021 1.05
Sell 18-JAN-2021 to 19-JAN-2021 16.47
Buy 19-JAN-2021 to 22-JAN-2021 2.37
Sell 22-JAN-2021 to 25-JAN-2021 -16.10
HCLTECH
=============
Current Position is Buy, bought on 01-FEB-2021 at 925.63
Action for Next Trading Day: Continue LONG and reverse to SHORT if HCLTECH closes below 920.09
Performance since 28 OCT 2020
=============================
Rs 386.08 Profit per share with 18 Winning Trades and 5 loss Trades. 78.26% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 06-JAN-2021 to 08-JAN-2021 9.85
Buy 08-JAN-2021 to 14-JAN-2021 65.48
Sell 14-JAN-2021 to 27-JAN-2021 83.04
Buy 27-JAN-2021 to 28-JAN-2021 -9.41
Sell 28-JAN-2021 to 01-FEB-2021 22.30
HDFC
=============
Current Position is Buy, bought on 01-FEB-2021 at 2408.76
Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFC closes below 2523.83
Performance since 28 OCT 2020
=============================
Rs 1455.04 Profit per share with 12 Winning Trades and 3 loss Trades. 80.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 06-JAN-2021 to 07-JAN-2021 -35.00
Buy 07-JAN-2021 to 13-JAN-2021 57.41
Sell 13-JAN-2021 to 19-JAN-2021 132.88
Buy 19-JAN-2021 to 22-JAN-2021 48.87
Sell 22-JAN-2021 to 01-FEB-2021 234.64
HDFCBANK
=============
Current Position is Buy, bought on 29-JAN-2021 at 1391.35
Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFCBANK closes below 1452.16
Performance since 28 OCT 2020
=============================
Rs 603.55 Profit per share with 14 Winning Trades and 3 loss Trades. 82.35% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 01-JAN-2021 to 08-JAN-2021 -0.77
Buy 08-JAN-2021 to 20-JAN-2021 63.45
Sell 20-JAN-2021 to 25-JAN-2021 30.35
Buy 25-JAN-2021 to 27-JAN-2021 -9.28
Sell 27-JAN-2021 to 29-JAN-2021 64.47
HDFCLIFE
=============
Current Position is Buy, bought on 29-JAN-2021 at 676.64
Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFCLIFE closes below 692.80
Performance since 28 OCT 2020
=============================
Rs 222.41 Profit per share with 12 Winning Trades and 6 loss Trades. 66.67% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 07-JAN-2021 to 08-JAN-2021 -3.84
Buy 08-JAN-2021 to 12-JAN-2021 4.37
Sell 12-JAN-2021 to 19-JAN-2021 23.52
Buy 19-JAN-2021 to 22-JAN-2021 2.12
Sell 22-JAN-2021 to 29-JAN-2021 21.73
HEROMOTOCO
=============
Current Position is Buy, bought on 01-FEB-2021 at 3320.56
Action for Next Trading Day: Continue LONG and reverse to SHORT if HEROMOTOCO closes below 3309.30
Performance since 28 OCT 2020
=============================
Rs 1267.75 Profit per share with 13 Winning Trades and 4 loss Trades. 76.47% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 07-JAN-2021 to 08-JAN-2021 -8.99
Buy 08-JAN-2021 to 15-JAN-2021 166.51
Sell 15-JAN-2021 to 19-JAN-2021 60.21
Buy 19-JAN-2021 to 27-JAN-2021 245.60
Sell 27-JAN-2021 to 01-FEB-2021 101.34
HINDALCO
=============
Current Position is Buy, bought on 01-FEB-2021 at 229.36
Action for Next Trading Day: Continue LONG and reverse to SHORT if HINDALCO closes below 237.46
Performance since 28 OCT 2020
=============================
Rs 117.60 Profit per share with 15 Winning Trades and 8 loss Trades. 65.22% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 06-JAN-2021 -3.39
Buy 06-JAN-2021 to 15-JAN-2021 5.87
Sell 15-JAN-2021 to 19-JAN-2021 13.31
Buy 19-JAN-2021 to 22-JAN-2021 0.07
Sell 22-JAN-2021 to 01-FEB-2021 17.21
HINDUNILVR
=============
Current Position is Sell, sold on 28-JAN-2021 at 2367.90
Action for Next Trading Day: Continue SHORT and reverse to LONG if HINDUNILVR closes above 2278.94
Performance since 28 OCT 2020
=============================
Rs 633.79 Profit per share with 15 Winning Trades and 5 loss Trades. 75.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 08-JAN-2021 to 12-JAN-2021 22.42
Sell 12-JAN-2021 to 14-JAN-2021 23.59
Buy 14-JAN-2021 to 15-JAN-2021 -9.91
Sell 15-JAN-2021 to 19-JAN-2021 36.93
Buy 19-JAN-2021 to 28-JAN-2021 25.90
ICICIBANK
=============
Current Position is Buy, bought on 29-JAN-2021 at 534.37
Action for Next Trading Day: Continue LONG and reverse to SHORT if ICICIBANK closes below 590.78
Performance since 28 OCT 2020
=============================
Rs 169.07 Profit per share with 13 Winning Trades and 8 loss Trades. 61.90% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 01-JAN-2021 to 04-JAN-2021 -2.14
Buy 04-JAN-2021 to 14-JAN-2021 21.48
Sell 14-JAN-2021 to 19-JAN-2021 14.78
Buy 19-JAN-2021 to 22-JAN-2021 8.48
Sell 22-JAN-2021 to 29-JAN-2021 13.11
INDUSINDBK
=============
Current Position is Buy, bought on 29-JAN-2021 at 820.09
Action for Next Trading Day: Continue LONG and reverse to SHORT if INDUSINDBK closes below 937.92
Performance since 28 OCT 2020
=============================
Rs 646.52 Profit per share with 14 Winning Trades and 7 loss Trades. 66.67% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 08-JAN-2021 to 13-JAN-2021 8.17
Buy 13-JAN-2021 to 18-JAN-2021 25.06
Sell 18-JAN-2021 to 19-JAN-2021 16.94
Buy 19-JAN-2021 to 21-JAN-2021 -7.45
Sell 21-JAN-2021 to 29-JAN-2021 114.51
INFY
=============
Current Position is Buy, bought on 01-FEB-2021 at 1261.21
Action for Next Trading Day: Continue LONG and reverse to SHORT if INFY closes below 1255.13
Performance since 28 OCT 2020
=============================
Rs 382.11 Profit per share with 15 Winning Trades and 6 loss Trades. 71.43% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 06-JAN-2021 to 08-JAN-2021 4.73
Buy 08-JAN-2021 to 15-JAN-2021 72.72
Sell 15-JAN-2021 to 20-JAN-2021 20.65
Buy 20-JAN-2021 to 27-JAN-2021 -10.73
Sell 27-JAN-2021 to 01-FEB-2021 58.39
IOC
=============
Current Position is Buy, bought on 28-JAN-2021 at 92.29
Action for Next Trading Day: Continue LONG and reverse to SHORT if IOC closes below 95.11
Performance since 28 OCT 2020
=============================
Rs 45.70 Profit per share with 12 Winning Trades and 2 loss Trades. 85.71% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 17-DEC-2020 to 24-DEC-2020 5.62
Buy 24-DEC-2020 to 05-JAN-2021 3.19
Sell 05-JAN-2021 to 06-JAN-2021 -0.64
Buy 06-JAN-2021 to 15-JAN-2021 8.43
Sell 15-JAN-2021 to 28-JAN-2021 9.78
ITC
=============
Current Position is Buy, bought on 01-FEB-2021 at 204.99
Action for Next Trading Day: Continue LONG and reverse to SHORT if ITC closes below 212.98
Performance since 28 OCT 2020
=============================
Rs 90.33 Profit per share with 13 Winning Trades and 2 loss Trades. 86.67% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 12-JAN-2021 8.17
Buy 12-JAN-2021 to 20-JAN-2021 13.05
Sell 20-JAN-2021 to 27-JAN-2021 7.88
Buy 27-JAN-2021 to 28-JAN-2021 -0.20
Sell 28-JAN-2021 to 01-FEB-2021 4.26
JSWSTEEL
=============
Current Position is Buy, bought on 01-FEB-2021 at 370.43
Action for Next Trading Day: Continue LONG and reverse to SHORT if JSWSTEEL closes below 376.00
Performance since 28 OCT 2020
=============================
Rs 179.37 Profit per share with 13 Winning Trades and 3 loss Trades. 81.25% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 06-JAN-2021 -0.13
Buy 06-JAN-2021 to 14-JAN-2021 0.67
Sell 14-JAN-2021 to 19-JAN-2021 14.16
Buy 19-JAN-2021 to 22-JAN-2021 3.82
Sell 22-JAN-2021 to 01-FEB-2021 19.59
KOTAKBANK
=============
Current Position is Buy, bought on 01-FEB-2021 at 1730.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if KOTAKBANK closes below 1780.45
Performance since 28 OCT 2020
=============================
Rs 757.66 Profit per share with 12 Winning Trades and 8 loss Trades. 60.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 14-JAN-2021 67.13
Buy 14-JAN-2021 to 15-JAN-2021 -11.49
Sell 15-JAN-2021 to 19-JAN-2021 25.28
Buy 19-JAN-2021 to 21-JAN-2021 10.10
Sell 21-JAN-2021 to 01-FEB-2021 136.20
LT
=============
Current Position is Buy, bought on 01-FEB-2021 at 1345.75
Action for Next Trading Day: Continue LONG and reverse to SHORT if LT closes below 1429.26
Performance since 28 OCT 2020
=============================
Rs 391.41 Profit per share with 11 Winning Trades and 4 loss Trades. 73.33% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 14-JAN-2021 1.96
Buy 14-JAN-2021 to 15-JAN-2021 4.53
Sell 15-JAN-2021 to 19-JAN-2021 25.61
Buy 19-JAN-2021 to 28-JAN-2021 4.65
Sell 28-JAN-2021 to 01-FEB-2021 -1.05
M&M
=============
Current Position is Buy, bought on 01-FEB-2021 at 761.02
Action for Next Trading Day: Continue LONG and reverse to SHORT if M&M closes below 783.00
Performance since 28 OCT 2020
=============================
Rs 254.48 Profit per share with 10 Winning Trades and 8 loss Trades. 55.56% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 12-JAN-2021 to 13-JAN-2021 -7.75
Buy 13-JAN-2021 to 18-JAN-2021 20.45
Sell 18-JAN-2021 to 20-JAN-2021 -12.46
Buy 20-JAN-2021 to 21-JAN-2021 -5.02
Sell 21-JAN-2021 to 01-FEB-2021 54.45
MARUTI
=============
Current Position is Buy, bought on 01-FEB-2021 at 7330.10
Action for Next Trading Day: Continue LONG and reverse to SHORT if MARUTI closes below 7309.29
Performance since 28 OCT 2020
=============================
Rs 2624.88 Profit per share with 14 Winning Trades and 3 loss Trades. 82.35% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 07-JAN-2021 to 08-JAN-2021 8.56
Buy 08-JAN-2021 to 15-JAN-2021 436.24
Sell 15-JAN-2021 to 19-JAN-2021 136.24
Buy 19-JAN-2021 to 27-JAN-2021 46.20
Sell 27-JAN-2021 to 01-FEB-2021 616.11
NESTLEIND
=============
Current Position is Sell, sold on 28-JAN-2021 at 17452.29
Action for Next Trading Day: Continue SHORT and reverse to LONG if NESTLEIND closes above 17225.93
Performance since 28 OCT 2020
=============================
Rs 2646.97 Profit per share with 13 Winning Trades and 6 loss Trades. 68.42% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 08-JAN-2021 to 12-JAN-2021 67.65
Sell 12-JAN-2021 to 19-JAN-2021 571.85
Buy 19-JAN-2021 to 22-JAN-2021 -72.94
Sell 22-JAN-2021 to 27-JAN-2021 180.30
Buy 27-JAN-2021 to 28-JAN-2021 -24.46
NTPC
=============
Current Position is Buy, bought on 01-FEB-2021 at 89.68
Action for Next Trading Day: Continue LONG and reverse to SHORT if NTPC closes below 90.95
Performance since 28 OCT 2020
=============================
Rs 45.70 Profit per share with 16 Winning Trades and 3 loss Trades. 84.21% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 12-JAN-2021 -0.46
Buy 12-JAN-2021 to 15-JAN-2021 1.14
Sell 15-JAN-2021 to 19-JAN-2021 2.76
Buy 19-JAN-2021 to 20-JAN-2021 0.28
Sell 20-JAN-2021 to 01-FEB-2021 8.86
ONGC
=============
Current Position is Buy, bought on 01-FEB-2021 at 90.10
Action for Next Trading Day: Continue LONG and reverse to SHORT if ONGC closes below 90.20
Performance since 28 OCT 2020
=============================
Rs 44.03 Profit per share with 11 Winning Trades and 8 loss Trades. 57.89% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 05-JAN-2021 to 06-JAN-2021 -2.78
Buy 06-JAN-2021 to 15-JAN-2021 5.26
Sell 15-JAN-2021 to 19-JAN-2021 6.26
Buy 19-JAN-2021 to 21-JAN-2021 -0.92
Sell 21-JAN-2021 to 01-FEB-2021 6.88
POWERGRID
=============
Current Position is Buy, bought on 01-FEB-2021 at 185.48
Action for Next Trading Day: Continue LONG and reverse to SHORT if POWERGRID closes below 187.15
Performance since 28 OCT 2020
=============================
Rs 61.99 Profit per share with 15 Winning Trades and 5 loss Trades. 75.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 04-JAN-2021 to 06-JAN-2021 0.55
Buy 06-JAN-2021 to 18-JAN-2021 12.68
Sell 18-JAN-2021 to 19-JAN-2021 4.41
Buy 19-JAN-2021 to 20-JAN-2021 -0.26
Sell 20-JAN-2021 to 01-FEB-2021 11.10
RELIANCE
=============
Current Position is Buy, bought on 01-FEB-2021 at 1874.95
Action for Next Trading Day: Continue LONG and reverse to SHORT if RELIANCE closes below 1867.28
Performance since 28 OCT 2020
=============================
Rs 942.34 Profit per share with 13 Winning Trades and 6 loss Trades. 68.42% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 12-JAN-2021 5.54
Buy 12-JAN-2021 to 15-JAN-2021 25.54
Sell 15-JAN-2021 to 18-JAN-2021 -15.24
Buy 18-JAN-2021 to 22-JAN-2021 130.22
Sell 22-JAN-2021 to 01-FEB-2021 210.75
SBILIFE
=============
Current Position is Buy, bought on 01-FEB-2021 at 875.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if SBILIFE closes below 870.39
Performance since 28 OCT 2020
=============================
Rs 263.67 Profit per share with 10 Winning Trades and 7 loss Trades. 58.82% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 12-JAN-2021 to 19-JAN-2021 31.19
Buy 19-JAN-2021 to 21-JAN-2021 -6.37
Sell 21-JAN-2021 to 27-JAN-2021 23.91
Buy 27-JAN-2021 to 29-JAN-2021 -2.56
Sell 29-JAN-2021 to 01-FEB-2021 -9.04
SBIN
=============
Current Position is Buy, bought on 28-JAN-2021 at 278.45
Action for Next Trading Day: Continue LONG and reverse to SHORT if SBIN closes below 304.88
Performance since 28 OCT 2020
=============================
Rs 167.97 Profit per share with 13 Winning Trades and 2 loss Trades. 86.67% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 08-JAN-2021 to 12-JAN-2021 2.13
Buy 12-JAN-2021 to 18-JAN-2021 15.62
Sell 18-JAN-2021 to 19-JAN-2021 2.18
Buy 19-JAN-2021 to 21-JAN-2021 1.23
Sell 21-JAN-2021 to 28-JAN-2021 20.44
SHREECEM
=============
Current Position is Buy, bought on 01-FEB-2021 at 23100.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if SHREECEM closes below 24074.21
Performance since 28 OCT 2020
=============================
Rs 7370.60 Profit per share with 15 Winning Trades and 3 loss Trades. 83.33% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 31-DEC-2020 to 06-JAN-2021 225.70
Buy 06-JAN-2021 to 11-JAN-2021 1396.33
Sell 11-JAN-2021 to 19-JAN-2021 1599.42
Buy 19-JAN-2021 to 20-JAN-2021 125.97
Sell 20-JAN-2021 to 01-FEB-2021 958.19
SUNPHARMA
=============
Current Position is Buy, bought on 29-JAN-2021 at 568.59
Action for Next Trading Day: Continue LONG and reverse to SHORT if SUNPHARMA closes below 585.49
Performance since 28 OCT 2020
=============================
Rs 286.08 Profit per share with 16 Winning Trades and 3 loss Trades. 84.21% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 12-JAN-2021 to 19-JAN-2021 30.27
Buy 19-JAN-2021 to 20-JAN-2021 7.11
Sell 20-JAN-2021 to 25-JAN-2021 10.35
Buy 25-JAN-2021 to 27-JAN-2021 -5.73
Sell 27-JAN-2021 to 29-JAN-2021 9.34
TATAMOTORS
=============
Current Position is Buy, bought on 01-FEB-2021 at 269.75
Action for Next Trading Day: Continue LONG and reverse to SHORT if TATAMOTORS closes below 274.37
Performance since 28 OCT 2020
=============================
Rs 180.27 Profit per share with 11 Winning Trades and 4 loss Trades. 73.33% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 18-DEC-2020 to 23-DEC-2020 11.54
Buy 23-DEC-2020 to 18-JAN-2021 83.47
Sell 18-JAN-2021 to 19-JAN-2021 0.88
Buy 19-JAN-2021 to 25-JAN-2021 31.00
Sell 25-JAN-2021 to 01-FEB-2021 12.75
TATASTEEL
=============
Current Position is Buy, bought on 01-FEB-2021 at 612.01
Action for Next Trading Day: Continue LONG and reverse to SHORT if TATASTEEL closes below 626.16
Performance since 28 OCT 2020
=============================
Rs 398.33 Profit per share with 9 Winning Trades and 8 loss Trades. 52.94% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 11-JAN-2021 to 13-JAN-2021 -9.59
Buy 13-JAN-2021 to 18-JAN-2021 -4.21
Sell 18-JAN-2021 to 19-JAN-2021 26.80
Buy 19-JAN-2021 to 21-JAN-2021 1.90
Sell 21-JAN-2021 to 01-FEB-2021 64.81
TCS
=============
Current Position is Sell, sold on 27-JAN-2021 at 3280.72
Action for Next Trading Day: Continue SHORT and reverse to LONG if TCS closes above 3174.16
Performance since 28 OCT 2020
=============================
Rs 690.69 Profit per share with 16 Winning Trades and 7 loss Trades. 69.57% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 01-JAN-2021 to 06-JAN-2021 175.01
Sell 06-JAN-2021 to 08-JAN-2021 -34.99
Buy 08-JAN-2021 to 21-JAN-2021 188.92
Sell 21-JAN-2021 to 22-JAN-2021 -12.41
Buy 22-JAN-2021 to 27-JAN-2021 -10.61
TECHM
=============
Current Position is Sell, sold on 28-JAN-2021 at 987.64
Action for Next Trading Day: Continue SHORT and reverse to LONG if TECHM closes above 956.06
Performance since 28 OCT 2020
=============================
Rs 307.46 Profit per share with 13 Winning Trades and 3 loss Trades. 81.25% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 04-JAN-2021 to 15-JAN-2021 58.52
Sell 15-JAN-2021 to 20-JAN-2021 34.12
Buy 20-JAN-2021 to 22-JAN-2021 -10.68
Sell 22-JAN-2021 to 27-JAN-2021 10.16
Buy 27-JAN-2021 to 28-JAN-2021 2.14
TITAN
=============
Current Position is Buy, bought on 01-FEB-2021 at 1438.92
Action for Next Trading Day: Continue LONG and reverse to SHORT if TITAN closes below 1479.93
Performance since 28 OCT 2020
=============================
Rs 691.75 Profit per share with 12 Winning Trades and 3 loss Trades. 80.00% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 07-JAN-2021 to 11-JAN-2021 2.90
Buy 11-JAN-2021 to 12-JAN-2021 -6.90
Sell 12-JAN-2021 to 18-JAN-2021 64.18
Buy 18-JAN-2021 to 22-JAN-2021 24.83
Sell 22-JAN-2021 to 01-FEB-2021 74.82
ULTRACEMCO
=============
Current Position is Buy, bought on 01-FEB-2021 at 5384.00
Action for Next Trading Day: Continue LONG and reverse to SHORT if ULTRACEMCO closes below 5631.38
Performance since 28 OCT 2020
=============================
Rs 1441.34 Profit per share with 16 Winning Trades and 5 loss Trades. 76.19% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Sell 07-JAN-2021 to 08-JAN-2021 -26.22
Buy 08-JAN-2021 to 14-JAN-2021 165.20
Sell 14-JAN-2021 to 19-JAN-2021 196.54
Buy 19-JAN-2021 to 25-JAN-2021 137.99
Sell 25-JAN-2021 to 01-FEB-2021 156.50
UPL
=============
Current Position is Sell, sold on 27-JAN-2021 at 581.59
Action for Next Trading Day: Continue SHORT and reverse to LONG if UPL closes above 544.35
Performance since 28 OCT 2020
=============================
Rs 304.43 Profit per share with 13 Winning Trades and 4 loss Trades. 76.47% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 22-DEC-2020 to 13-JAN-2021 54.57
Sell 13-JAN-2021 to 14-JAN-2021 -1.23
Buy 14-JAN-2021 to 22-JAN-2021 80.21
Sell 22-JAN-2021 to 25-JAN-2021 -1.48
Buy 25-JAN-2021 to 27-JAN-2021 3.06
WIPRO
=============
Current Position is Sell, sold on 28-JAN-2021 at 442.19
Action for Next Trading Day: Continue SHORT and reverse to LONG if WIPRO closes above 427.81
Performance since 28 OCT 2020
=============================
Rs 157.83 Profit per share with 17 Winning Trades and 4 loss Trades. 80.95% Success Trades
Last 5 trade performance
=======================
Action/From date/to Date/Profit(loss) Rs per share
==================================================
Buy 22-DEC-2020 to 15-JAN-2021 89.42
Sell 15-JAN-2021 to 20-JAN-2021 7.97
Buy 20-JAN-2021 to 25-JAN-2021 2.42
Sell 25-JAN-2021 to 27-JAN-2021 -1.55
Buy 27-JAN-2021 to 28-JAN-2021 0.91
Cheat Sheet : Investment products at a Glance 🎯1) Cryptocurrencies: Highest Risk, Highest Return :-
There are 3 main types of Cryptocurrencies in the market now which are the most actively traded – Bitcoin, Ethereum, and Litecoin. Think of this as a new version of a stock, where the underlying thesis is the idea of decentralized ownership and value. For any other currencies in the market, for eg. USD , it is debt-based and backed by the respective monetary authorities. This also means that they are free to increase or decrease the supply to implement their policies on the market. For cryptocurrencies, they are limited in supply, hence the free market is completely at play here (demand and supply).
2) Stocks: High Risk, Highest Return:-
A stock (also called a share) is a part of ownership in a company. It represents a claim on the company’s assets and earnings and what that entitles you to do is to attend the Annual General Meetings (AGMs) and dividends payout if declared by the company. So essentially by buying into this company, you are betting that the management team and company fundamentals are able to get you more returns.
Total Returns = Capital Appreciation (price increases) + Dividend Payout (cash payouts)
3) Exchange Traded Funds (ETF): High Risk, High Return
Think of ETFs as an investment fund which is traded on a stock market. Essentially when you buy a stock of an ETF, you are buying into a basket of weighted shares. – diversification. Being actively traded also brings many benefits, namely, efficiency as well as liquidity compared to funds where often you would need to go through a long process to buy and sell the holdings. You can get a rather efficient price for your holdings at almost any time.
4) Unit Trust (Mutual Funds): High Risk, High Return
An instrument whereby you pay fund managers a fee of between 0.5% to 2% yearly to manage a pool of money (fund). Essentially their main goal is to outperform the benchmark return Where it is justified if they can outperform the market, they should indeed earn that fee because they know how to navigate and invest in the market better than you.
5) Bonds: Moderate Risk, Moderate Return
A bond is a type of debt instrument where an investor loans money to an entity. The entity can either be a corporate or more commonly government body. The purposes vary but it is mainly to raise funds for a defined period of time at a defined variable or fixed interest rate.
if you loan the amount for a longer period of time, the % interest increases towards the maturity date. As a bondholder, you reserve the right to the future payout at the maturity date. Something interesting about bonds is that they come in various types such as a Bond ETF (where it is a diversified basket of various bonds traded on the market) or a Bond Fund (where it is an actively managed basket of bonds with a purpose to beat the bond index)
6) Endowment: Low Risk, Low Return
An endowment policy is actually dressed up as a life insurance contract designed to pay a lump sum after a specific term (on its ‘maturity’) or on death. Usually, the structure is one which involves regular payments into this endowment fund held by your insurance company which then decides to invest and bring in some returns. Therefore it is a mix of some protection and forced savings plan (with a little better interest than a regular savings account normally)
7) Savings: No Risk, Negative Return
This is the most straightforward of all the different options. Actually, this is not an investment option but it is planted in the illustration above to show you how much you could be losing if you put your money in a normal savings account and not touch it. I think it is clear that the main goal is to have enough rainy day/opportunity funds of about 6 months of monthly expenses in this account. Next, by optimizing for an account which gives you the highest interest rates (although usually ranging from 1.5-2.0%). We actually did a useful comparison of which accounts make the most sense for you.
Guys check out the related ideas as well, it will work for you !
🙏FOLLOW for more !
👍LIKE if think is useful !
✍COMMENT Below your view !
SRTRANSFINI AM IN LOVE WITH SRTRANSFIN AND HCL ....HI HI HIIIIIIIIIII......BOTH ARE AWESOME STOCKS FOR INTRADAY
ABFRL forming a expanding channel BUY signals at 127I WILL LOOK AT BUYING OPPORTUNITIES AT ABFRL because :
It is forming a kind of expanding pattern .
It has been taking the support of the lower trend line .
Now the price is again at its support level so will be looking at buying opportunities.
Entry : 127
Target : 158/161
Stop loss : 119