INTRADAY SMS CALLS | | DATE | STOCK | ADVICE | TIME FRAME | ENTRY | TARGET | STOP | RESULT | COMMENT | GAIN/lOSS | | 05/31/2010 | GE SHIP | LONG | BTST | 298 | 306-308-310+ | 289.95 | LOSS BOOKED | LOSS BOOKED AT 294 | -1.34 | | 05/31/2010 | TATA STEEL | LONG | BTST | 500 | 510-515-520+ | 489.95 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/01/2010 | TATA MOTORS | SHORT | INTRADAY | 748 | 736-734-732- | 760.05 | TARGET HIT | INTRADAY LOW OF 720.50 | 3.67 | | 06/01/2010 | IVRCL | SHORT | INTRADAY | 173 | 170-168-166- | 176.05 | TARGET HIT | INTRADAY LOW OF 160.05 | 7.48 | | 06/01/2010 | YES BANK | SHORT | INTRADAY | 282 | 279-278-277- | 285.05 | TARGET HIT | INTRADAY LOW OF 277 | 1.77 | | 06/02/2010 | LITL | SHORT | INTRADAY | 62.35 | 61.35-61-60.50- | 63.35 | STOP LOSS HIT | | -1.60 | | 06/03/2010 | CIPLA | SHORT | INTRADAY | 324 | 320-319-318- | 328.05 | RECOVERED AT PAR | | 0.00 | | 06/03/2010 | JSW STEEL | SHORT | INTRADAY | 1084 | 1072-1066-1060- | 1096.05 | TARGET HIT | INTRADAY LOW OF 1065 | 1.75 | | 06/04/2010 | BHEL | SHORT | INTRADAY | 2335 | 2305-2300-2290- | 2365.05 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/04/2010 | SBI | LONG | INTRADAY | 2300 | 2325-2330-2335+ | 2274.95 | TARGET HIT | INTRADAY HIGH 2348 | 2.08 | | 06/04/2010 | SUN TV | SHORT | INTRADAY | 399 | 393-392-390- | 405.05 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/10/2010 | LIC HSG | SHORT | INTRADAY | 961 | 951-949-945- | 971.05 | RECOVERED AT PAR | | 0.00 | | 06/10/2010 | BANK OF BARODA | SHORT | INTRADAY | 730.35 | 723-721-718- | 737.35 | RECOVERED AT PAR | | 0.00 | | 06/10/2010 | CHAMBAL FERTILIZERS | LONG | INTRADAY/BTST | 60 | 61.50-62-63+ | 58.5 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/10/2010 | KOTAK BANK | LONG | INTRADAY | 742 | 749-751-753+ | 734.95 | PROFIT BOOKED | 746 AFTER CALL | 0.53 | | 06/11/2010 | SESA GOA | LONG | BTST | 358 | 366-368-370+ | 349.95 | LOSS BOOKED | BTST CLOSE OF 353.85 | -1.15 | | 06/11/2010 | HDIL | SHORT | INTRADAY | 231 | 228-226-224- | 234.05 | STOP LOSS HIT | | -1.32 | | 06/11/2010 | JINDAL STEEL | SHORT | INTRADAY | 641 | 632-631-630- | 650.05 | RECOVERED AT PAR | | 0.00 | | 06/14/2010 | SESA GOA | LONG | INTRADAY | 354.5 | 360-363-366+ | 349.95 | LOSS BOOKED | BTST CLOSE OF 353.85 | -0.18 | | 06/14/2010 | BAJAJ AUTO JUNE FUT | SHORT | INTRADAY/STBT | 2292 | 2269-2265-2260- | 2315.05 | RECOVERED AT PAR | | 0.00 | | 06/14/2010 | YES BANK | SHORT | INTRADAY | 285.75 | 281.50-280-279- | 290.05 | RECOVERED AT PAR | | 0.00 | | 06/14/2010 | SBI | SHORT | INTRADAY | 2335 | 2320-2315-2310- | 2355.1 | LOSS BOOKED | CLOSE 2346.10 | -0.47 | | 06/15/2010 | ABAN | LONG | INTRADAY | 667 | 674-680-685+ | 660 | RECOVERED AT PAR | | 0.00 | | 06/15/2010 | TATA MOTORS | SHORT | INTRADAY | 760 | 750-745-740- | 770.05 | TARGET HIT | INTRADAY LOW OF 749.40 | 1.39 | | 06/15/2010 | GODREJ INDUSTRIES | LONG | INTRADAY/BTST | 153.5 | 158-159-160+ | 148.95 | PROFIT BOOKED | CLOSE 154.20 | 0.45 | | 06/16/2010 | SAIL | LONG | INTRADAY/BTST | 203.5 | 210+ | 197.5 | LOSS BOOKED | LOSS BOOKED AT 200.60 | -1.42 | | 06/16/2010 | BANK NIFTY JUNE FUT | SHORT | INTRADAY | 9554 | 9500-9460- | 9608.1 | TARGET HIT | LOW OF 9481.20 | 0.76 | | 06/16/2010 | MARUTI | LONG | INTRADAY/BTST | 1355 | 1380-1390-1400+ | 1329.95 | RECOVERED AT PAR | | 0.00 | | 06/16/2010 | ICICI BANK | SHORT | INTRADAY | 865 | 857-855-853- | 872 | STOP LOSS HIT | | -0.80 | | 06/17/2010 | DLF | SHORT | INTRADAY | 276.2 | 271- | 281.2 | STOP LOSS HIT | | -1.81 | | 06/17/2010 | JP ASSOCIATES | LONG | INTRADAY/BTST | 128.5 | 132-133-134+ | 124.95 | RECOVERED AT PAR | | 0.00 | | 06/17/2010 | SIEMENS | LONG | INTRADAY/BTST | 728 | 737-740-745+ | 718.95 | PROFIT BOOKED | DAYS HIGH 732.90 | 0.67 | | 06/18/2010 | UCO BANK | SHORT | INTRADAYSTBT | 78.5 | 77-76- | 80.05 | STOP LOSS HIT | | -1.97 | | 06/18/2010 | JSW STEEL | SHORT | INTRADAY | 1046 | 1036-1032-1029- | 1056.1 | TARGET HIT | INTRADAY LOW 1031.20 | 1.41 | | 06/18/2010 | GE SHIPPING | LONG | INTRADAY | 297 | 301-303-305+ | 293 | TARGET ALMOST HIT | DAYS HIGH 300.80 | 1.27 | | 06/21/2010 | TATA STEEL | LONG | INTRADAY/BTST | 486 | 498-508+ | 479.95 | TARGET HIT | BTST HIGH 508 | 4.52 | | 06/21/2010 | INFOSYS | SHORT | INTRADAY | 2810 | 2790-2785-2780- | 2830.05 | PROFIT BOOKED | INTRADAY LOW OF 2791.25 | 0.66 | | 06/21/2010 | CEAT | LONG | INTRADAY/BTST | 139 | 144+ | 133.95 | RECOVERED AT PAR | | 0.00 | | 06/22/2010 | ABAN | LONG | INTRADAY/BTST | >751 | 761-766-775+ | 740.95 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/22/2010 | SKUMARS | LONG | INTRADAY | 75.1 | 76.50-77-78+ | 73.55 | TARGET HIT | INTRADAY HIGH 76.90 | 2.39 | | 06/22/2010 | LITL | SHORT | INTRADAY | 68.35 | 67-66- | 69.7 | RECOVERED AT PAR | | 0.00 | | 06/23/2010 | TATA CHEMICALS | LONG | INTRADAY/BTST | 319.75 | 327-330+ | 312.75 | PROFIT BOOKED | PROFIT BOOKED AT 325 | 1.64 | | 06/23/2010 | REL INFRA | SHORT | INTRADAY | 1185 | 1175-1170- | 1195.05 | RECOVERED AT PAR | | 0.00 | | 06/23/2010 | NATIONAL ALUMINIUM | SHORT | INTRADAY | 437 | 431- | 443.05 | RECOVERED AT PAR | | 0.00 | | 06/24/2010 | TATA COMMUNICATIONS | LONG | INTRADAY | 259 | 264-265-266+ | 253.95 | RECOVERED AT PAR | | 0.00 | | 06/24/2010 | AXIS BANK | SHORT | INTRADAY | 1259 | 1249-1245-1240- | 1269.05 | TARGET HIT | INTRADAY LOW OF 1249 | 0.79 | | 06/24/2010 | LITL | SHORT | INTRADAY | 67.85 | 66.80-66- | 68.9 | RECOVERED AT PAR | | 0.00 | | 06/25/2010 | TECH MAHINDRA | LONG | INTRADAY/BTST | 745 | 757-762-770+ | 732.9 | RECOVERED AT PAR | | 0.00 | | 06/25/2010 | MARUTI | LONG | INTRADAY | 1400 | 1415-1420-1425+ | 1384.95 | TARGET HIT | INTRADAY HIGH 1421.90 | 1.56 | | 06/25/2010 | JSW STEEL | SHORT | INTRADAY | 1055 | 1045-1040-1035- | 1065.05 | TARGET HIT | INTRADAY LOW 1039 | 1.51 | | 06/28/2010 | TITAN | SHORT | INTRADAY | 2264 | 2234- | 2294.05 | STOP LOSS HIT | | -1.32 | | 06/28/2010 | STERLITE | LONG | INTRADAY/BTST | 169.5 | 173-174-175+ | 166.5 | TRAILING STOP AT PAR HIT | | 0.00 | | 06/28/2010 | SBI | SHORT | INTRADAY | 2298 | 2285-2280-2270- | 2310.05 | STOP LOSS HIT | | -0.52 | | 06/28/2010 | ROLTA | SHORT | INTRADAY | 167.7 | 164- | 171.35 | LOSS BOOKED | CLOSE OF 168.75 | -0.62 | | 06/29/2010 | AXIS BANK | SHORT | INTRADAY | 1251.1 | 1241-1235-1230- | 1261.1 | TARGET HIT | INTRADAY LOW OF 1234 | 1.36 | | 06/29/2010 | BHARTI AIRTEL | LONG | INTRADAY | 266.5 | 270-271-272+ | 263.5 | RECOVERED AT PAR | | 0.00 | | 06/29/2010 | GAIL | LONG | INTRADAY | 473 | 476-477-478+ | 469.9 | STOP LOSS HIT | | -0.65 | | 06/30/2010 | POLARIS | SHORT | INTRADAY | 178.4 | 176.30-175-174- | 180.45 | LOSS BOOKED | CLOSE OF 179.75 | -0.75 | | 06/30/2010 | AXIS BANK | SHORT | INTRADAY | 1240 | 1230-1225-1220- | 1250.1 | TARGET HIT | INTRADAY LOW OF 1222.10 | 1.44 | | 06/30/2010 | SBI | SHORT | INTRADAY | 2300 | 2288-2285-2280- | 2312.05 | TARGET HIT | | 0.52 | POTENTIAL GROSS GAIN IN % | +23.70 | NIFTY SMS CALLS | | DATE | NIFTY | ADVICE | TIME FRAME | ENTRY | TARGET | STOP | RESULT | COMMENT | GAIN/lOSS | | 06/01/2010 | NIFTY 5000 JUNE PUT | LONG | INTRADAY | 110 | NA | NA | PROFIT BOOKED AT 165 | DAYS HIGH 167 | 55.00 | | 06/02/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 4970 | 4950-4940-4930- | 4990.1 | TARGET HIT | LOW OF 4945 AFATER CALL | 25.00 | | 06/03/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 5095 | 5065-5060-5050- | 5125.05 | RECOVERED AT PAR | | 0.00 | | 06/04/2010 | NIFTY JUNE FUT | SHORT | STBT | 5115 | 5090-5080-5070- | 5140.05 | PROFIT BOOKED | LOW 4985.20 ON 07/06/2010 | 129.80 | | 06/10/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 5025 | 5000-4990-4980- | 5050.05 | STOP LOSS HIT | | -25.05 | | 06/11/2010 | NIFTY 5100 JUNE PUT | LONG | BTST | 72 | NA | NA | RECOVERED AT PAR | | 0.00 | | 06/14/2010 | NIFTY 5100 JUNE PUT | LONG | EXPIRY | 41 | NA | 5260.05 | STOP LOSS HIT | LOSS BOOKED AT 13 | -28.00 | | 06/15/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 5223 | 5203-5193-5183- | 5243.05 | STOP LOSS HIT | | -20.05 | | 06/17/2010 | NIFTY JUNE FUT | SHORT | INTRADAY/STBT | 5270 | 5220- | 5320.1 | RECOVERED AT PAR | | 0.00 | | 06/18/2010 | NIFTY 5300 JUNE PUT | LONG | EXPIRY | 58 | NA | NA | LOSS BOOKED | | -58.00 | | 06/18/2010 | NIFTY 5200 JUNE PUT | SHORT | EXPIRY | 23 | NA | NA | PROFIT BOOKED | | 23.00 | | 06/21/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 5367 | 5355-5345-5335- | 5378 | TARGET HIT | INTRADAY LOW OF 5316.30 | 50.70 | | 06/22/2010 | NIFTY JUNE FUT | LONG | INTRADAY | 5331 | 5345-5350+ | 5325.95 | STOP LOSS HIT | | -5.05 | | 06/22/2010 | NIFTY JUNE FUT | LONG | INTRADAY | 5330 | 5345-5350+ | 5314.95 | TARGET HIT | DAYS HIGH 5358.95 | 28.95 | | 06/23/2010 | NIFTY JUNE FUT | LONG | INTRADAY | 5305 | 5315-5325-5330+ | 5294.95 | LOSS BOOKED | EXITED AT 5304 | -1.00 | | 06/23/2010 | NIFTY JUNE FUT | LONG | INTRADAY | >5315.05 | 5335-5242+ | 5294.95 | PROFIT BOOKED | PROFIT BOOKED AT 5330 | 14.95 | | 06/24/2010 | NIFTY JUNE FUT | SHORT | INTRADAY | 5344 | 5324-5314-5304- | 5364.05 | TARGET HIT | INTRADAY LOW OF 5287.20 | 56.80 | | 06/25/2010 | NIFTY JULY FUT | SHORT | INTRADAY/STBT | 5300 | 5270-5260-5250- | 5330.05 | STOP LOSS HIT | | -30.05 | | 06/25/2010 | NIFTY JULY FUT | SHORT | 2-3 DAYS | 5300 | 5240-5210- | >5370 | PROFIT BOOKED | AT 5260 ON 29/06/2010 | 40.00 | | 06/28/2010 | NIFTY JULY FUT | SHORT | INTRADAY | 5335 | NA | >5370 | PROFIT BOOKED | AT 5310 ON 29/06/2010 | 25.00 | | 06/29/2010 | NIFTY JULY FUT | LONG | INTRADAY | 5245 | 5260-5265-5270+ | 5234.95 | TARGET HIT | HIT TARGET 5265 | 20.00 | | 06/30/2010 | MINI NIFTY JULY FUT | SHORT | EXPIRY | 5260+5320 | NA | >5370 | PROFIT BOOKED | BOOKED AT 5248 | 42.00 | POTENTIAL GROSS GAIN IN NIFTY POINTS | +344.00 | SMS SWING CALLS | | DATE | STOCK | ADVICE | TIME FRAME | ENTRY | TARGET | STOP | RESULT | COMMENT | GAIN/lOSS | | 05/26/2010 | RCOM | LONG | 1 WEEK | 138.00 | 146-150-155+ | 129.95 | TARGET HIT | | 4.72 | | 05/27/2010 | GAIL | LONG | 1-2 WEEKS | 450.00 | 475-490+ | 427.95 | PROFIT BOOKED | 462.70 ON 11/06/2010 | 2.82 | | 05/27/2010 | CHAMBAL FERTILIZERS 60 JUNE CALL | LONG | EXPIRY | 1.10 | 2.20-3-4+ | NA | TARGET HIT | HIGH OF 4.10 ON 01/06/2010 | 5.17 | | 05/31/2010 | JP ASSOCIATES | LONG | 1-3 DAYS | 123.50 | 128-130-132+ | 119.50 | STOP LOSS HIT | | -3.23 | | 05/31/2010 | ENGINEERS INDIA | LONG | 1-2 WEEKS | 328.00 | 350-358-375+ | 307.95 | TARGET HIT | HIGH OF 354.50 ON 01/06/2010 | 8.07 | | 06/01/2010 | MARUTI 1300 JUNE CALL | LONG | EXPIRY | 21 | 42-44-50+ | NA | TARGET HIT | 59.80 ON 04/06/2010 | 3.88 | | 06/02/2010 | RCOM 160 JUNE CALL | LONG | EXPIRY | 3.5 | 7-9-10+ | NA | TARGET HIT | 11.50 ON 03/06/2010 | 2.80 | | 06/02/2010 | TECH MAHINDRA | LONG | 1-2 WEEKS | 665 | 700-710-720+ | 629.95 | TARGET HIT | 718.90 ON 03/06/2010 | 8.10 | | 06/03/2010 | JP ASSOCIATES 130 JUNE CALL | LONG | EXPIRY | 3.75 | 7.50-9-10+ | NA | LOSS BOOKED | | -3.75 | | 06/03/2010 | RELIANCE CAPITAL 700 JUNE CALL | LONG | EXPIRY | 13.25 | 27-30-35+ | NA | TARGET HIT | 37.80 ON 14/06/2010 | 3.38 | | 06/04/2010 | AB NUVO | LONG | 1-2 WEEKS | 730 | 760-770-780+ | 704.95 | TARGET HIT | 768.70 ON 10/06/2010 | 5.30 | | 06/11/2010 | COX&KINGS | LONG | 1 WEEK | 436.25 | 460-470-480+ | 414.95 | TARGET HIT | 474 ON 14/06/2010 | 8.65 | | 06/11/2010 | INFOSYS 2500 JUNE PUT | LONG | EXPIRY | 9 | 18-20-25+ | NA | LOSS BOOKED | | -0.56 | | 06/11/2010 | BEL | LONG | 1 WEEK | 1745 | 1800-1810-1820+ | 1694.95 | PROFIT BOOKED | 1796.80 ON 15/06/2010 | 2.96 | | 06/15/2010 | SUZLON 60 JUNE CALL | LONG | EXPIRY | 1 | 2-3-4+ | NA | LOSS BOOKED | | -2.00 | | 06/15/2010 | LT 1750 JUNE CALL | LONG | EXPIRY | 15 | 30-40-50+ | NA | TARGET HIT | 44.90 ON 17/06/2010 | 2.99 | | 06/16/2010 | TATA COMMUNICATION | LONG | 2-4 WEEKS | 260 | 295-310-330+ | 224.95 | RECOVERED AT PAR | | 0.00 | | 06/17/2010 | ABAN | LONG | 2-4 WEEKS | 723 | 775-785-800+ | 671.95 | TARGET HIT | 799.95 ON 28/06/2010 | 10.64 | | 06/21/2010 | GUJRAT NRE COKE | LONG | 1-2 WEEKS | 64.05 | 69-71+ | 58.85 | LOSS BOOKED | RECOVERED AT 62 | -3.20 | | 06/21/2010 | DR REDDY JUNE FUT | SHORT | EXPIRY | 1423.9 | 1400-1390-1380- | 1446.9 | STOP LOSS HIT | | -1.61 | | 06/22/2010 | GODREJ INDUSTRIES | LONG | 1 WEEK | 161.25 | 172-177+ | 150.95 | TARGET HIT | 172 ON 24/06/2010 | 6.66 | | 06/28/2010 | REL INFRA | LONG | 2-5 DAYS | 1190 | 1230-1240-1250+ | 1149.95 | RECOVERED AT PAR | | 0.00 | POTENTIAL GROSS GAIN IN % | +61.79 | Individual net profits/loss may vary;depending upon entry, exit, stop losses, slippage, commission, taxes, etc. Stock options profit/ loss calculated on Rs 2 Lacs.
| | |
 |