Stocks To Keep A Close Eye On

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SavantGarde

Well-Known Member
i was already holding it in cash since 21st of aug and exited yesterday (i dont know why i booked inspite of IFCI showing strength on the charts)........ and i like the timing of your call . Pls post some more F & O calls , Thx .
Rajaram,

Don't Worry If You Booked Profit Yesterday, I Too Booked Profit Yesterday On A Few Balance That I Was Holding From Friday.

The Buy Triggers Generated Is Especially Designed For Stock Futures, Therefore Go Through Them Carefully & Track Them For A While To Gain Confidence In The Triggers & Once You Gain Some Confidence In The Triggers You Are Welcome To Follow Them.

Returns Should Be Good Enough For Most Future Traders.

Will Let You Know Through This Thread About Calls & Puts As And When I Do Find Something Substantial.

Keep Track Of FT In Futures, At An Appropriate Moment During The Day You Enter & Once You Have About Rs.100 Gain On It, My Suggestion Would Be To Enter Another For Intraday Profits While Maintaining Your First Position, There Maybe Be Times Where It Might Be Appropriate To Sell Your Earlier Position & Buying It Back, Thus Holding Your Longs & Compounding Your Profit As You Go Along.

Enter Again If You See A Little Downside In Cash Since It Is Expected To Go 78-83



Happy & Safe Trading

SavantGarde
 
Rajaram,

Keep Track Of FT In Futures, At An Appropriate Moment During The Day You Enter & Once You Have About Rs.100 Gain On It, My Suggestion Would Be To Enter Another For Intraday Profits While Maintaining Your First Position, There Maybe Be Times Where It Might Be Appropriate To Sell Your Earlier Position & Buying It Back, Thus Holding Your Longs & Compounding Your Profit As You Go Along.




Happy & Safe Trading

SavantGarde
First up you are right and thanks for the advice...

infact i got buy signals from my system and bought rcom @ 487 , suntv @ 311 , RPL @ 110 , icici bank @ 825 ,Unitech @ 480 ( now 240 after bonus) , IFCI @ 61 , canara bank @ 239 , HLL @ 193 and SATYAM @ 451 ( i dont know why i bought that dog ) during the recent correction when the whole world was against buying.

I did exactly what you said for the last 15 days selling on rallies and buying it back intra-day thereby holding my initial position and made lots of money ( infact the past week has been the best week in my trading career) but yesterday i sold most of them except unitech and rcom which iam planning to hold for some more time.
Yesterday night i didnt sleep till 3 a.m. in the morning thinking that i made a mistake by selling such fantastic long positions but i sold them because i got the impression that this rally is getting a bit stretched ( which my system didnt reflect) and i want to re-entar at a lower level than current prices.
Attimes i think that iam greedy and start selling without following the system and have sleepless nights thinking about my stupidity .
I know its a long drawn learning process but the first step is to control the devil within and thats where iam failing again and again and again.
 

SavantGarde

Well-Known Member
Rajaram,

Never Rue The Fact Of Actually Taking Profits Off The Table.

Congratulations ! You Have Done Very Well.

Satyam & All Others In The Tech Have Been Looking Like 'Dogs' As You Described....Fundamentally Nothing Wrong With Them Except That The Market Will At Some Point Have To Disregard Rupee/Dollar Rate When It Sort Of Stabilises In A Narrow Band.

An Excellent Practice Of Selling & Buying Low, When The Market Is Floundering Around Or In An Intermediate Down Trend.

But The Market Is Heading Higher & Will Probably Take Out The Previous High, May Happen During The Second Half Of The Month.


Warm Regards

SavantGarde

First up you are right and thanks for the advice...

infact i got buy signals from my system and bought rcom @ 487 , suntv @ 311 , RPL @ 110 , icici bank @ 825 ,Unitech @ 480 ( now 240 after bonus) , IFCI @ 61 , canara bank @ 239 , HLL @ 193 and SATYAM @ 451 ( i dont know why i bought that dog ) during the recent correction when the whole world was against buying.

I did exactly what you said for the last 15 days selling on rallies and buying it back intra-day thereby holding my initial position and made lots of money ( infact the past week has been the best week in my trading career) but yesterday i sold most of them except unitech and rcom which iam planning to hold for some more time.
Yesterday night i didnt sleep till 3 a.m. in the morning thinking that i made a mistake by selling such fantastic long positions but i sold them because i got the impression that this rally is getting a bit stretched ( which my system didnt reflect) and i want to re-entar at a lower level than current prices.
Attimes i think that iam greedy and start selling without following the system and have sleepless nights thinking about my stupidity .
I know its a long drawn learning process but the first step is to control the devil within and thats where iam failing again and again and again.
 

SavantGarde

Well-Known Member
Re: Stocks To Keep A Close Eye On 5th Sep 2007

Stocks To Keep A Close Eye On For 5th Sep 2007

NEW BUY / SELL TRIGGERS & FOLLOW-UP

Code:
______________________________________________
NAME		 CMP	SIGNAL	S/L-1	 S/L-2
______________________________________________

[B]BEL	       1770.65	[COLOR="SeaGreen"]BUY[/COLOR]    1707.75 1680.00[/B]

[B]DABUR		100.75	[COLOR="seagreen"]BUY[/COLOR]	100.95	 99.85[/B]

[B]DRREDDY		663.30	[COLOR="seagreen"]BUY[/COLOR]	641.85	635.55[/B]

[B]ESSAROIL	 52.80	[COLOR="seagreen"]BUY[/COLOR]	 51.70	 51.05[/B]

[B]FEDERALBNK	347.05	[COLOR="seagreen"]BUY[/COLOR]	331.27	324.30[/B]

[B]LICHSGFIN	200.25	[COLOR="seagreen"]BUY[/COLOR]	188.35	186.30[/B]

[B]MRPL		 46.90	[COLOR="seagreen"]BUY[/COLOR]	 42.70	 42.05[/B]

[B]NEYVELILIG	 83.40	[COLOR="seagreen"]BUY[/COLOR]	 76.70	 75.60[/B]

[B]NICOLASPIR	295.55	[COLOR="seagreen"]BUY[/COLOR]	262.80	254.40[/B]

[B]WOCKPHARMA	395.50	[COLOR="seagreen"]BUY[/COLOR]	378.20	370.30[/B]	
______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 38.45
______________________________________________
[B]ASHOKLEY	 38.45	[COLOR="SeaGreen"]BUY[/COLOR]	 37.10	 36.20[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 401.15
______________________________________________
[B]COLGATE		393.05	[COLOR="seagreen"]BUY[/COLOR]	380.45	373.45[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 2933.70
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[B]GRASIM	       3021.05	[COLOR="seagreen"]BUY[/COLOR]    2902.90 2842.60[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 1176.40
______________________________________________
[B]HDFCBANK       1176.45	[COLOR="seagreen"]BUY[/COLOR]    1154.45 1133.55[/B]

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Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 190.40
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[B]KTKBANK		189.95	[COLOR="seagreen"]BUY[/COLOR]	183.30	178.60[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 282.50
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[B]PUNJLLOYD	286.85	[COLOR="seagreen"]BUY[/COLOR]	270.00	261.90[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 122.90
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[B]RPL		123.05	[COLOR="seagreen"]BUY[/COLOR]	114.90	112.65[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 1606.65
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[B]SBIN	       1611.95	[COLOR="seagreen"]BUY[/COLOR]    1566.90 1533.90[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 621.15
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[B]STER		618.05	[COLOR="seagreen"]BUY[/COLOR]	612.80	589.35[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 691.60
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[B]TATASTEEL	683.80	[COLOR="seagreen"]BUY[/COLOR]	646.75	612.55[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 03/09/2007 @ 768.55
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[B]TATATEA		762.30	[COLOR="seagreen"]BUY[/COLOR]	743.25	715.20[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 1130.70
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[B]ABB	       1185.05	[COLOR="SeaGreen"]BUY[/COLOR]    1124.70 1083.40[/B]

______________________________________________

Triggered [COLOR="SeaGreen"]BUY[/COLOR] On 31/08/2007 @ 1067.45
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[B]ACC            1098.15	[COLOR="seagreen"]B.HOLD[/COLOR]    1053.00 1015.30[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 48.05
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[B]ARVINDMILL	 52.40	[COLOR="seagreen"]B.HOLD[/COLOR]	 47.70	 45.80[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 2343.00
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[B]BAJAJAUTO      2279.25	[COLOR="seagreen"]B.HOLD[/COLOR]   2306.25 2274.60[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 1977.50
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[B]HDFC	       2060.55	[COLOR="seagreen"]B.HOLD[/COLOR]    1980.10 1951.45[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] 31/08/2007 @ 53.35
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[B]INDUSINDBK	 56.65	[COLOR="seagreen"]B.HOLD[/COLOR]	 52.80	 51.80[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 164.35
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[B]JSTAINLESS	159.75	[COLOR="seagreen"]B.HOLD[/COLOR]	156.20	152.20[/B]

______________________________________________
Triggered BUY On 31/08/2007 @ 293.35
______________________________________________
[B]MPHASIS		300.35	[COLOR="seagreen"]B.HOLD[/COLOR]	288.00	285.80[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 1199.20
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[B]RELCAPITAL     1224.55	[COLOR="seagreen"]B.HOLD[/COLOR]    1163.956 1111.80[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 31/08/2007 @ 1241.65
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[B]TITAN 	       1267.00	[COLOR="seagreen"]B.HOLD[/COLOR]    1204.40 1160.60[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 118.60
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[B]IDBI		130.45	[COLOR="seagreen"]B.HOLD[/COLOR]	120.80	118.85[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 374.40
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[B]IPCL		388.30	[COLOR="seagreen"]B.HOLD[/COLOR]	375.15	365.55[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 836.75
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[B]MARUTI		893.30	[COLOR="seagreen"]B.HOLD[/COLOR]	846.10	818.50[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 509.65
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[B]PATNI		506.20	[COLOR="seagreen"]B.HOLD[/COLOR]	495.25	462.45[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 377.55
______________________________________________
[B]RANBAXY		406.95	[COLOR="seagreen"]B.HOLD[/COLOR]	380.60	370.40[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 1912.05
______________________________________________
[B]RELIANCE       1972.90	[COLOR="seagreen"]B.HOLD[/COLOR]    1898.25 1845.70[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 1946.10
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[B]SESAGOA	       1960.10	[COLOR="seagreen"]B.HOLD[/COLOR]    1895.45 1829.35[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 61.05
______________________________________________
[B]TVSMOTOR	 65.60	[COLOR="seagreen"]B.HOLD[/COLOR]	 61.95	 59.65[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 30/08/2007 @ 55.05
______________________________________________
[B]VIJAYABANK	 57.15	[COLOR="seagreen"]B.HOLD[/COLOR]	 54.85	 52.90[/B]

______________________________________________
Triggered [COLOR="seagreen"]BUY[/COLOR] On 27/08/2007 @ 238.50
______________________________________________
[B]INDIACEM	268.35	[COLOR="seagreen"]B.HOLD[/COLOR]	245.40	233.00[/B]
______________________________________________
BHARTIARTL Is Out Of The List


Happy & Safe Trading

SavantGarde
 
Rajaram,

Never Rue The Fact Of Actually Taking Profits Off The Table.

Congratulations ! You Have Done Very Well.

Satyam & All Others In The Tech Have Been Looking Like 'Dogs' As You Described....Fundamentally Nothing Wrong With Them Except That The Market Will At Some Point Have To Disregard Rupee/Dollar Rate When It Sort Of Stabilises In A Narrow Band.

An Excellent Practice Of Selling & Buying Low, When The Market Is Floundering Around Or In An Intermediate Down Trend.

But The Market Is Heading Higher & Will Probably Take Out The Previous High, May Happen During The Second Half Of The Month.


Warm Regards

SavantGarde


thanks savant,

iam feeling stronger .
 

SavantGarde

Well-Known Member
i am waiting for that day when i hold till prices retrace ,
Can't Be Of Much Help Here Except For Trailing Stop Loss To Lock-In Profits

i am waiting for the day when i can buy at the last point of a downtrend ........ its going to be one long wait ..
Hmmmm.....Let Me See, What I Have In My Pandora's Box....:)

90% Of The Time Any Close Below The Lower Bollinger Band, Stock Should Move Up The Next Day.
Settings For It Are As Follows:

1) Source - Close
2) Period - 9
3) Std. Deviation - 2
4) MA Type - Simple

Check With Historical Data Till Date Of Some Stocks, Might Be Worthwhile & may Instil Some Confidence.

SavantGarde
 
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