SHORT TERM RESEARCH (up to 5-10 days holding period):
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We have been working on a research for a period of around a year with different permutation and combinations. We have had some success and have been able to
Zero-in on a specific modal that works. We have processed this data with more than 2,00,000+ permutation combinations and have produced a system that can
generate up to 8 modals for different Indexes.
We have tested this research since 1994 for NSE stocks. The % range returns varies as per the index, which is as below:
Nifty : 30% - 40% P.a.
MIDCAP : 40% - 50% P.a.
S/P CNX 500 : 50% - 70% p.a. (Less volatile - more stable returns)
All indexes - other than SMALL CAP : 50% - 80% p.a.
SMALL CAP MODAL : 100% + returns
Some advantages of our research are as follows:
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1. The modal is based on a world known phenomenon. We have researched exact entry and exit points for stocks.
2. Our research generates entry positions in 2 blocks. 1st - 15th of a month and 16- 31st of the month. This way a trader will be able to plan allocation of
his capital to the stock market well in advance (before the start of the trading sessions).
3. This modal can generate short positions too. For trading in option or futures.
4. Our modal can be tweaked to match individual trading needs. People with "high risk - high rewards" appetite can generate entry points to meet their
needs.
We need help to identify the below:
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1. What do you think should be the strategy: 1a. To sell this research or 1b. To start trading on this basis.
1A. If we sell this research, whoever buys it can research world markets and sell the modal around the world.
1B. If we start trading, we need to have that much amount of capital to invest and generate returns. since we are from IT and our strengths match in doing research, we are of the opinion to sell our research.
your views please ...
===========================================
We have been working on a research for a period of around a year with different permutation and combinations. We have had some success and have been able to
Zero-in on a specific modal that works. We have processed this data with more than 2,00,000+ permutation combinations and have produced a system that can
generate up to 8 modals for different Indexes.
We have tested this research since 1994 for NSE stocks. The % range returns varies as per the index, which is as below:
Nifty : 30% - 40% P.a.
MIDCAP : 40% - 50% P.a.
S/P CNX 500 : 50% - 70% p.a. (Less volatile - more stable returns)
All indexes - other than SMALL CAP : 50% - 80% p.a.
SMALL CAP MODAL : 100% + returns
Some advantages of our research are as follows:
-----------------------------------------------
1. The modal is based on a world known phenomenon. We have researched exact entry and exit points for stocks.
2. Our research generates entry positions in 2 blocks. 1st - 15th of a month and 16- 31st of the month. This way a trader will be able to plan allocation of
his capital to the stock market well in advance (before the start of the trading sessions).
3. This modal can generate short positions too. For trading in option or futures.
4. Our modal can be tweaked to match individual trading needs. People with "high risk - high rewards" appetite can generate entry points to meet their
needs.
We need help to identify the below:
-----------------------------------
1. What do you think should be the strategy: 1a. To sell this research or 1b. To start trading on this basis.
1A. If we sell this research, whoever buys it can research world markets and sell the modal around the world.
1B. If we start trading, we need to have that much amount of capital to invest and generate returns. since we are from IT and our strengths match in doing research, we are of the opinion to sell our research.
your views please ...