Tuesday, December 14, 2010

16 DEC 2010 INTRADAY

ALL F&O AND CASH SCRIP LEVEL , USE YOUR OWN FNO LEVEL

ENTER TRADE ONLY IF LEVELS SUSTAIN ABOVE OR BELOW FOR 5 -10MIN

BANKNIFTY (11195)

Buy at / above: 11206 Targets: 11230 - 11266 - 11313 - 11359- 11401 -11490 -11555 -11630
Stoploss : 11190
Sell at / below: 11187 Targets: 11162 - 11115 - 11067 - 11023 -10970 - 10911 -10869 -10819 -10760 -10700 -10650 Stoploss : 11205

HIGH -11550 LOW - 11180

BUYSIDE = PROFIT

344* 25 = 8600 PROFIT

NIFTY FUT (5896)


Buy at / above: 5906 Targets: 5926 - 5945 - 5964 - 5983 - 6010 -6033
Stoploss : 5891

Sell at / below: 5889 Targets: 5874 - 5855- 5836 - 5816 - 5796 -5772 -5749
Stoploss : 5905

HIGH - 5979 LOW - 5863

BUY SIDE + SELL SIDE - STOPLOSS = PROFIT

73 .75 + 26 - 31 = 3400 PROFIT


SBIN (2698.05)

Buy at / above: 2703 Targets: 2715 - 2728 - 2741 - 2754- 2790 -2814-2835
Stoploss : 2694

Sell at / below: 2692Targets: 2679 - 2666 - 2653 - 2640 2623 - 2600 -2580 -2555
Stoploss : 2700

HIGH - 2779 LOW -2677

BUYSIDE +SELLSIDE - STOPLOSS = PROFIT

76 + 15 - 17 = 74 * 100 = 7400 PROFIT


ABGSHIP CASH / FNO(394.50)

Buy at / above: 395 Targets: 399 - 404 - 409 - 414- 425 -438 -447 -460
Stoploss : 391

Sell at / below: 390 Targets: 385 - 380 - 375 - 370 -361 -353 -344 - 330
Stoploss : 394

HIGH - 404.35 LOW - 372.10

BUYSIDE +SELLSIDE - STOPLOSS = PROFIT

9.35 +17.90 - 8 = 27.25 * 1000 = 27250 PROFIT


GOLDYEN CASH (711.15)


Buy at / above: 713Targets: 721 - 728 - 735 - 742 - 758 -768 -779
Stoploss : 709

Sell at / below: 708 Targets: 702 - 695 - 689 - 682 -670 -655 -646 -642
Stoploss : 714

HIGH - 748 LOW - 675

BUYSIDE +SELLSIDE - STOPLOSS = PROFIT

35 + 33 - 10 = 58 * 100 = 5800 PROFIT


ICICIBANK CASH / FNO (1078.70)


Buy at / above: 1080 Targets: 1088- 1096 - 1105 - 1113 -1127 -1140 -1155 -1166
Stoploss : 1073

Sell at / below: 1072 Targets: 1064 - 1056 - 1048 - 1040 -1123 -1111 -1099 -1078
Stoploss : 1078

HIGH - 1112.15 LOW - 1068.10

BUYSIDE = PROFIT

32*250 = 8000 PROFIT

KOTAKBANK CASH /FNO (449.85)


Buy at / above: 451 Targets: 456 - 462 - 467 - 472 - 481 -492 -504 -519
Stoploss : 446

Sell at / below: 446 Targets: 441 - 435 - 430 - 425 -413 -400 -392 -378 -365
Stoploss : 451.56

HIGH -466.45 LOW - 447

BUYSIDE = PROFIT

15*500 =7500 PROFIT

BPCL CASH /FNO (703.35)


Buy at / above: 707 Targets: 715- 721- 728 - 735 -749 -761 -774 -789 - 799
Stoploss : 702

Sell at / below: 701Targets: 695 - 689- 682 - 676 -666 -658 -644 -632 -625 -610
Stoploss : 708

HIGH - 709.90 LOW - 686.50

SELLSIDE = PROFIT

14.50*500 = 7250 PROFIT


TODAY TOTAL PROFIT

8600 + 3400 + 7400 + 27250 +5800 + 8000 + 7500 + 7250 = 75200




I WILL GIVE HERE MY CALLS IN ALL SECTIONS MENTIONED.

TRADING IN F&O IS RISKY.
I AM NOT HOLDING ANY OF THE SHARES RECOMMENDED.
TAKE YOUR OWN RISK IN FOLLOWING ME

3 comments:

panakals said...

AS PER POST THERE IS ONLY PROFIT, Can we get these levels by email, or can I know at what time the levels are posted

JAPM FINANCE said...

EVERY DAY 10PM TO 11.30 PM POST NEXT DAY LEVEL AND ASPER USE THIS LEVEL IS DAILY BASE OK

vasu said...

Performance good.But couldn't find calls.Will try on Monday if calls are seen in the blog.Thanks