Trade4Profit KALPATARU - Trade4Profit C-106/B, KALKAJI, NEW DELHI - 110019 (INDIA) Tel: 011-41601206/ 0-98111-11353 | *2 Day Trading System in 'F&O' Scrips by SMS/Chat-Box/Wireless Sets *Intra-Day Real-Time Calls through Chat-Box/ SMS *Daily Newsletters for Day-Traders & Investors *Portfolio Advisory & Technical Quaries *Special Services for High Networth Investors |
Website - : www.trade4profit.org | 08th August 2007 |
India's First Technical Analysts to provide Real-Time (Online) Trading Recommendations since 1998 |
* Attn. Day Traders / Swing Traders / Investors ! Do Not Mix-Up your Trading & Investment Strategies Any Stock Bullish for Intra-Day may be Bearish in Short Term but again Bullish in Medium Term Charts or Bearish for Long Term or Vice a Versa (First Read the 'Disclaimer' - Click Here) |
Oil Futures ! |
* Oil Futures ! Mildly Bearish in Extreme Short Term BUT Strong support @ $ 70/- per Barrel (From KTP070807) |
By continuing to read this Newsletter, you have read and agreed to the disclaimer posted at www.trade4profit.org |
To Understand as how to intreperate the Newsletters - CLICK HERE |
On-Line Recommendation Portfolio (+) 25665.33% in 105 Months (Hypothetical Performance) | The "Rs.10 Lac-Portfolio" (+)1137.76% in 328 weeks (Hypothetical Performance) |
Important Support & Resistance Levels of Sensex/ Nifty / Nifty 'Near Month' |
Index | Close | Change | 3- DEMA | 7- DEMA | Sup-2 | Sup-1 | Trend | Res-1 | Res-2 | 5D-High | 5D-Low | * BSE - SENSEX | 14932.77 | 29.74 | 14970.99 | 15092.52 | 14789.71 | 14805.28 | 14992.21 | 15120.30 | 15270.51 | 15344.02 | 14705.58 | * CNX BANK INDEX | 6823.45 | 1.60 | 6818.95 | 6827.47 | 6717.88 | 6745.11 | 6858.33 | 6937.07 | 7033.62 | 6954.65 | 6609.75 | * CNX IT INDEX | 4823.25 | 28.30 | 4835.48 | 4905.80 | 4782.97 | 4785.04 | 4836.52 | 4874.89 | 4914.47 | 5093.20 | 4749.55 | * CNX MIDCAP | 6017.90 | 42.55 | 6008.67 | 6034.69 | 5975.82 | 5974.31 | 6033.82 | 6077.59 | 6122.23 | 6131.05 | 5897.60 | * S&P CNX NIFTY | 4356.35 | 16.85 | 4362.14 | 4397.96 | 4314.17 | 4318.94 | 4368.08 | 4405.65 | 4444.07 | 4532.90 | 4267.15 | - NSE50 1 MONTH | 4317.45 | 9.45 | 4325.33 | 4363.33 | 4291.08 | 4288.09 | 4326.62 | 4356.10 | 4383.95 | 4461.25 | 4200.00 | |
Change in Indices in last 5 Days |
Index | Close | L.Change | 2DayBack | 3DayBack | 4DayBack | 5DayBack | * BSE - 500 CO'S | 5858.50 | 24.16 | -81.60 | 71.79 | 28.30 | -247.35 | * BSE - SENSEX | 14932.77 | 29.74 | -235.37 | 152.70 | 49.93 | -615.22 | * CNX BANK INDEX | 6823.45 | 1.60 | -32.75 | 95.45 | 121.80 | -291.10 | * CNX IT INDEX | 4823.25 | 28.30 | -91.10 | 56.55 | -79.80 | -177.40 | * S&P CNX 500 | 3660.55 | 20.60 | -48.45 | 45.55 | 14.00 | -155.00 | * S&P CNX NIFTY | 4356.35 | 16.85 | -62.05 | 45.20 | 10.50 | -183.00 | - CNX BANK INDEX - 1 M | 6841.85 | 4.75 | -25.55 | 108.30 | 131.95 | -334.05 | - CNX IT - 1 MONTH | 4806.05 | 14.25 | -78.25 | 48.45 | -60.70 | -189.95 | - NSE50 1 MONTH | 4317.45 | 9.45 | -58.35 | 49.35 | 28.60 | -219.75 | |
Gainers / Losers & Stocks with Spurt in Volume (Min Avg Volume >50000/Day) |
Scrip | Close | L.Close | Change% | Scrip | Volume | 3 Days Avg Volume | Vol Change (Times) | Gainers | Volume Toppers | GLAXOSMITHKLINE PHARMA | 1211.60 | 1144.55 | 5.86 | STRIDES ARCOLAB | 144876 | 67400 | 2.15 | RELIANCE NATURAL RESOURCES | 45.90 | 43.45 | 5.64 | BATA (I) | 363536 | 198823 | 1.83 | BANK OF RAJASTHA | 115.35 | 109.85 | 5.01 | GLAXOSMITHKLINE PHARMA | 53430 | 29450 | 1.81 | ERA CONSTRUCTIONS (I) | 551.75 | 525.55 | 4.99 | DENA BANK | 3679818 | 2040538 | 1.80 | IDBI | 112.30 | 107.00 | 4.95 | GREAT EASTERN SHIPPING | 639647 | 361152 | 1.77 | GUJ NRE COKE | 60.30 | 57.50 | 4.87 | RELIANCE NATURAL RESOURCES | 46683656 | 26760128 | 1.74 | BATA (I) | 160.20 | 153.25 | 4.54 | GUJ NRE COKE | 3125882 | 1809810 | 1.73 | DEVELOPMENT CREDIT BANK | 106.50 | 102.05 | 4.36 | MINDTREE CONSULTING | 183923 | 106533 | 1.73 | SUZLON ENERGY | 1247.70 | 1196.45 | 4.28 | VSNL | 372818 | 216840 | 1.72 | PUNJ LLOYD | 289.30 | 277.60 | 4.21 | GUJ INDSTL POWER | 204295 | 120080 | 1.70 | CANARA BANK | 267.40 | 257.10 | 4.01 | CANARA BANK | 661015 | 388583 | 1.70 | Losers | ESSAR OIL | 1529978 | 921153 | 1.66 | ZEE NEWS | 64.75 | 68.25 | -5.13 | SYNDICATE BANK | 1758468 | 1061105 | 1.66 | SHR RENUKA SUGARS | 529.20 | 549.70 | -3.73 | ZEE NEWS | 2751317 | 1681796 | 1.64 | HIMACHAL FUTURIS | 19.15 | 19.85 | -3.53 | PUNJ LLOYD | 4988971 | 3068901 | 1.63 | FEDERAL BANK | 350.95 | 363.40 | -3.43 | DECCAN AVIATION | 1178689 | 728024 | 1.62 | ITC LTD | 166.95 | 172.55 | -3.25 | ICICI BANK | 3499011 | 2204569 | 1.59 | TATA ELXSI (I) | 291.60 | 300.05 | -2.82 | INDIAN BANK | 1171225 | 759394 | 1.54 | MINDTREE CONSULTING | 573.20 | 589.30 | -2.73 | BANK OF BARODA | 670258 | 441186 | 1.52 | SAKTHI SUGARS | 77.40 | 79.00 | -2.03 | ERA CONSTRUCTIONS (I) | 377017 | 251482 | 1.50 | ICICI BANK | 869.90 | 886.90 | -1.92 | TATA ELXSI (I) | 164299 | 111246 | 1.48 | STERLITE INDS (I) | 600.50 | 611.95 | -1.87 | BAJAJ AUTO | 221817 | 153225 | 1.45 | |
What the Charts Foretell (FOR Short Term Investors) |
* NIFTY/ SENSEX ! Nifty - Strong Resistance @ 4418/ Bullish Pattern in Making for Short Term Be Scrip & Sector Specific - Both Bullish & Bearish opportunities available in EST * IFCI ! Extreme short term bullish target achieved - Ready for corrective decline to 63-64 * R N R L ! Bullish breakout in hourly charts-Likely to cross 50+ in near future * PUNJ LLOYD ! Mildly bearish in hourly charts -Likely to decline to 280 in near term * ICICI BANK ! Bearish indication in extreme short term -Further decline to 855-850 on charts * ORBIT CORP ! Intra day bearish target achieved -Charts favor further decline to 378-380 * RELIANCE ENERGY ! On verge of bullish breakout for target of 800-805-Buy if moves above 770 wiith SL of 760 * INFOSYS ! Highly oversold and ready for technical recovery for 1980 in few day -Use every decline to buy with SL of 1860 * MTNL .! Mildly bullish in EST charts - Buy on delcine on target of 148+ * FEDERAL BANK ! Strong support around 345 - Bearish breakout may wipe of Rs20-/ in near term * BSNL ! Bearish but oversold -Use technical relly towards 445 for profit booking * ANSAL INFRA ! Bearish indication in short term charts -Use pull back towards 260 for profit booking in short term * NIIT TECH ! Moves below the crucial support of 450 -Further decline to 415 on charts * SRF LTD ! Under storng consolidation for last few days -All indicators in favor of rise to 154+ in coming sessions * HIND OIL ! Enters over sold zone -Investment buying adivised for target of 120+ in few days * NAKURI ! Bullish breakout in extreme short term charts-Likely to cross 950 in few days * TECH MAHINDRA ! Bearish but highly oversold -Buy gradually on decline for target of 1405 * SASKEN ! Extreme short term charts in favor of rise to 400+ in near term -Buy on decline with SL of 340 * RENUKA SUGAR ! Medium terrm charts in favor of decline to 475 -Use every rise to book profit * MPHASIS ! Near crucial support of 284 - Bearish breakout may wipe of Rs.20/- in coming sessions * NIIT LTD ! Short term charts favor rise to 995-1000/Buy with SL for the above targets * LANCO INFRA ! Charts favor further delicne to 245-Book profit on every rise to re-enter at lower levels | Bulls & Bears (Technically Speaking) | IFCI Ltd. (Daily) | Reliance Energy (Daily) | | | |
FRESH ADVISORY RECOMMENDATIONS For Extreme Short Term Investors/ Intra-Day Traders ( First Read Disclaimer at www.trade4profit.org) |
Note: It is always advisable to use Stop Loss with every Trade. The Stop Loss Level may vary according to the Time Frame & Profit Margin for which any trade is being initiated. |
BUYING | SELLING |
Reco. Date | Scrip | Reco. Type | Buy Around | Target | Reco. Date | Scrip | Reco. Type | Sell Around | Target | 08.08.07 | RNRL | Short Term | On Declines+SL | 48-50 | 08.08.07 | Punj Lloyd | Short Term | On Rally +SL | 280+ | 08.08.07 | REL | Short Term | On Declines+SL | 800+ | 08.08.07 | NIIT Tech | Short Term | On Rally +SL | 415-420 | 08.08.07 | Sasken | Sh/Med Term | On Declines+SL | 400+ | 08.08.07 | Ansal Infra | Short Term | On Rally +SL | 240 | 08.08.07 | VSNL | Short Term | On Declines+SL | 445 | | | | | | 08.08.07 | MTNL | Short Term | On Declines+SL | 148 | | | | | | 07.08.07 | ITC | Short Term | On Declines+SL | 183-185 | | | | | | 07.08.07 | Birla Corp | Short Term | On Declines+SL | 305+ | | | | | | 07.08.07 | India Cement | Short Term | If Moves>225+SL | 245+ | | | | | | 07.08.07 | SRF Ltd. | Short Term | On Declines+SL | 153+ | | | | | | 07.08.07 | Hexaware | Short Term | On Declines+SL | 135+ | | | | | | 06.08.07 | LITL | Short Term | If Moves>264+SL | 300+ | 06.08.07 | Ranbaxy | Short Term | On Rally +SL | 340 | 06.08.07 | Orbit Corp | Short Term | On Declines+SL | 425+ | 06.08.07 | Kotak Bank | Short Term | On Rally +SL | 740 | 06.08.07 | Adani Ent | Short Term | On Declines+SL | 360+ | 06.08.07 | Reliance Ind. | Short Term | On Rally +SL | 1740-1750 | 06.08.07 | A Birla Nuvo | Short Term | If Moves>1480+SL | 1625+ | | | | | | 06.08.07 | M&M | Short Term | On Declines+SL | 700+ | | | | | | |
The Hypothetical "10 Lac-Portfolio" as on 08.08.2007 |
FRESH RECOMMENDATIONS ( First Read Disclaimer at www.trade4profit.org) |
Important Disclosure - None of the promotoers/ associates/ employees of Trade4Profit OR Kalpataru Investment Consultants has any position in any of the below advised stocks. |
Recommendations for 08.08.2007 Opening Price is considered around close of previous day. Avoid BUYING if Prices open abnormally High and Avoid SELLING if prices open too low. 1). Reliance Energy (Or Fut) : Buy 1000 Shares (500 at opening + 5x100 at Fall of every Rs2/- ) in ' Investment A/C' . Target 800+ Avg SL Rs15/-. 2). RNRL (Or Fut). :Buy 2500 Shares (1000 at opening + 5x300 at Fall of every Rs0.5/- ) in ' Investment A/C' . Target 49+ Avg SL Rs3/-. 3). NIIT Tech.: Sell 1000 Shares (500 at opening + 5x100 at Rise of every Rs2/- ) in ' Investment A/C' . Target 425+ Avg SL Rs10/-. 4). Ansal Infra.: Sell 1500 Shares (700 at opening + 4x200 at Rise of every Rs1/- ) in ' Investment A/C' . Target 240+ Avg SL Rs8/-. |
Hypothetical Performance of '10 Lac - Portfolio' in last 328 weeks | Upto Week No. | T.Gain/ Loss in portfolio | Change in the Week(s) | Remarks | 0 (09.04.2001) | Nil | Nil | Initial Investment of Rs.10,00,000/- | 50 | 147.47 | 147.47% | | 100 | 184.46 | 36.99% | | 150 | 398.21 | 213.75% | | 200 | 501.32 | 103.11% | | 250 | 667.37 | 166.05% | | 300 | 953.87 | 286.50% | | 328 (05.08.2007) | 1137.76 | 184.39% | | | Hypothetical Performance of '10 Lac - Portfolio' in last 328 weeks | |
No comments:
Post a Comment