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SHARESPROFITSURE INTRADAY TIPS OF 31-AUGUST-2009
1)(31-AUGUST-2009,10:02AM):-BUY ONGC(1179.80) ONLY ABOVE 1183.75/- WITH STOPLOSS 1174.95/- TARGET 1197.55/- IF CROSSES THENEVEN 1207.60/- ALSO POSSIBLE.
(IN ONGC OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1202/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 16/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 16000.00/- IN JUST FEW HOURS OF TRADING)
2)(31-AUGUST-2009,10:06AM):-BUY BPCL(494) ONLY ABOVE 496/- WITH STOPLOSS 489.45/- TARGET 512.25/- IF CROSSES THENEVEN 521.75/- ALSO POSSIBLE.
(IN BPCL ITS TODAY HIGH IS 510.50/- WHICH IS VERY NEAR TO OUR FIRST TARGET OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 13/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 13000.00/- IN JUST FEW HOURS OF TRADING)
3)(31-AUGUST-2009,10:09AM):-BUY PRAJIND(103.25) AT CMP WITH STOPLOSS 99.45/- TARGET 111.35/- IF CROSSES THENEVEN 115/- ALSO POSSIBLE.
(IN PRAJIND ITS TODAY HIGH IS 105.40/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1.50/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 3750.00/- IN JUST FEW HOURS OF TRADING)
4)(31-AUGUST-2009,10:17AM):-BUY SATYAMCOMP(114.15) ONLY ABOVE 114.65/- WITH STOPLOSS 111.85/- TARGET 121.65/- IF CROSSES THENEVEN 125/- ALSO POSSIBLE.
(IN SATYAMCOMP OUR ALMOST ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 124.35/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS
NEARLY 9/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 22500.00/- IN JUST FEW HOURS OF TRADING)
5)(31-AUGUST-2009,10:20AM):-BUY TECHM(931) ONLY ABOVE 934.50/- WITH STOPLOSS 914.95/- TARGET 964/- IF CROSSES THENEVEN 975/- ALSO POSSIBLE.
(IN TECHM ITS TODAY HIGH IS 959.70/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 21/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 21000.00/- IN JUST FEW HOURS OF TRADING)
6)(31-AUGUST-2009,10:27AM):-BUY UNITECH(24SEP2009) 110CA(4.40) AT CMP WITH STOPLOSS 2.95/- TARGET 8/- IF CROSSES THENEVEN 12/- ALSO POSSIBLE.
(IN UNITECH OPTION CALL ITS TODAY HIGH IS 7.50/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 11250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 112500.00/- IN JUST FEW HOURS OF TRADING)
7)(31-AUGUST-2009,10:41AM):-BUY ABAN(1602) ONLY ABOVE 1612/- WITH STOPLOSS 1589.95/- TARGET 1685.70/- IF CROSSES THENEVEN 1700/- ALSO POSSIBLE.
(IN ABAN ITS TODAY HIGH IS 1649/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 33/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 33000.00/- IN JUST FEW HOURS OF TRADING)
8)(31-AUGUST-2009,10:59AM):-BUY HDIL(319.25) ONLY ABOVE 320/- WITH STOPLOSS 313.20/- TARGET 331.05/- IF CROSSES THENEVEN 335/- ALSO POSSIBLE.
(IN HDIL ITS TODAY HIGH IS 321/- AS ITS MOSTLY REMAIN BELOW 320/- THEREFORE OUR CLIENTS AVOIL TRADING IN IT WHEREAS THIS STOCK MAY MOVE HIGH IN COMING TIME DUE TO HUGE BUILDUP SEEN IN IT)
9)(31-AUGUST-2009,11:06AM):-BUY RNRL(88.40) ONLY ABOVE 88.50/- WITH STOPLOSS 85.95/- TARGET 92.10/- IF CROSSES THENEVEN 95/- ALSO POSSIBLE.
(IN RNRL AS IT MOSTLY REMAIN BELOW 88.50/- OUR CLIENTS DO NOT TRADE IN THIS STOCK BUT TODAY IT SHOWS HUGE BUILDUP THEREFORE THIS STOCK MAY RISE BIG IN COMING TIME)
10)(31-AUGUST-2009,11:33AM):-BUY SUZLON(24SEP2009) 100CA(4.85) ONLY ABOVE 5/- WITH STOPLOSS 3.70/- TARGET 8/- IF CROSSES THENEVEN 13/- ALSO POSSIBLE.
(IN SUZLON OPTION CALL ITS TODAY HIGH IS 5.15/- WE SEE HUGE BUILDUP IN THIS OPTION CALL TODAY THEREFORE IT MAY RISE VERY HIGH IN COMING 1-5 DAYS)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY NEAR 12:05PM WE GIVE SHORT RELIANCE CALL TO OUR YAHOO MESSENGER CLIENTS WHEN IT WAS TRADING NEAR 2041/- TO SHORT BELOW 2036/- LATER IT FALLS TO 1995/- OUR MESSENGER CLIENTS EARN HUGEEEEEE PROFITTTTTT NEARLY 38/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 38000.00/- IN JUST FEW HOURS OF TRADING.}
SUNDAY SPECIAL 30-AUGUST-2009 WEEKLY SPECIAL E-MAIL:-
(short term (1-5weeks), medium term (1-2months) & long term (3months to 6months).
BUY VIDEOIND(239.65) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY ESSAROIL(147.30) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY WELGUJ(245.40) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY GMDCLTD(112.50) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY PTC(95.25) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY SELAN(304.65) FOR MEDIUM TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY MADHUCON(232.60) FOR LONG TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
sharesprofitsure team.
(OUR ALL SUNDAY SPECIAL SHARES ARE HIGHLY RESEARCHED SO OUR PAID CLIENTS TRADE IN THEM TODAY TO EARN GOOD RETURN AS THEY ARE WELL STUDIED GIVEN.OUR PROFESSIONAL, EXECUTIVE PLAN & MANAGER PLAN CLIENTS MAKING HUGE MONEY THROUGH OUR THIS ADDITIONAL SERVICE ALSO )
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 31-AUGUST-2009 TRADING:-
Global cues and GDP data may remain key factors this week.
The market closed the previous week with impressive gains with the Sensex gaining 682 points at 15922 and the Nifty ending with a gain of 204 points at 4732, its best close since early June 2008. The market remained steady throughout the previous week on signs of a global economic recovery and a revival of the monsoon, besides confident statements by the prime minister and the finance minister about the strength of the economy. Meantime, GDP data being released today by the government may remain a key event to be watched by the market participants which together with the FIIs activity may prove vital for the market trend. However, it is hoped that markets this week may consolidate before making a further move. Clients are therefore, advised to watch the market trend before making large commitments.
NIFTY FUTURE (Last close 4737.80)
During the previous week August F & O derivative series expired with impressive gains and the counter closed the week with a massive gain of over 200 points amid high volatility. The new September series which opened and remained buoyant on Friday last appears overstretched and may witness some profit booking at higher levels. Further, NF may remain in the range of 4647-4822 this week, break above NF may move further up to 4859/4883 or else break below NF may slide to 4619/4585. For today’s trading, the counter needs to trade and remain above 4761.75, whereby it may move further up to 4789/4815. Strong support for NF exists at 4702.25 which if breached decisively NF may slide to 4677/4661.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4632.10/- OUR PAID CLIENTS BOOK HUGEEEE PROFITTTTTT AT LOWER LEVELS NEARLY 3250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 32500.00/- IN JUST FEW HOURS OF TRADING)
ACC FUTURE (Last close 806.35)
The company which owns a number of cement plants through out the country , manufactures a range of cements, blended cements, gypsum and refractory products such as Brown Tabular Alumina. The company also provides turnkey and application consulting services for setting up and operating cement plants and refractories. The company’s net profit surged, by around 80% during the first quarter of 2009, in comparison with its earlier quarter of 2008. Meantime, the stock after remaining range bound during the past four trading sessions closed the week gaining around 4% with positive bias. The stock appears positive on weekly charts and may move further to 818/824 once it trades above 809.75. Strong support for the stock exists at 801.25.
(IN ACC FUTURE ITS TODAY HIGH IS 812/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW MINUTES OF TRADING)
NEYVELI LIGNITE FUTURE (Last close 131.50)
The company’s principal activities are exploration of lignite mines and power generation. The company owns three lignite mines and two thermal power stations in Tamil Nadu. It generates power by using lignite as fuel. The company’s profit rose marginally to Rs 287.64 crore in the quarter ended June 2009 as against Rs 285.83 crore during the previous quarter ended June 2008. Meantime, the stock closed the week gaining marginally but with low volumes. The stock appears positive on weekly charts and may surge to 136/139 once it trades and remains above 132.75. Strong support for the stock exists at 129.75.
(IN NEYVELILIG FUTURE ITS TODAY HIGH IS 133/- AS IT MOSTLY REMAIN BELOW OUR BUY PRICE OUR CLIENTS AVOID TRADING IN IT)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT FROM 31-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 28-AUGUST-2009
1)(28-AUGUST-2009,10:03AM):-BUY RIIL(1130.35) ONLY ABOVE 1145.50 WITH STOPLOSS 1124.95/- TARGET 1170/- IF CROSSES THENEVEN 1196.50/- ALSO POSSIBLE.
(IN RIIL ITS TODAY HIGH IS 1154/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
2)(28-AUGUST-2009,10:07AM):-BUY VIDEOIND(245.15) ONLY ABOVE 248.50/- WITH STOPLOSS 239.95/- TARGET 260.15/- IF CROSSES THENEVEN 275/- ALSO POSSIBLE.
(IN VIDEOIND ITS TODAY HIGH IS 249/- AS ITS MOSTLY REMAIN BELOW OUR BUY PRICE THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
3)(28-AUGUST-2009,10:29AM):-SHORT ABAN(1556.35) ONLY BELOW 1550/- WITH STOPLOSS 1575.05/- TARGET 1505/- IF BREAKS THENEVEN 1450/- ALSO POSSIBLE.
(IN ABAN ITS TODAY LOW IS 1517.05/- OUR PAID CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 28/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 28000.00/- IN JUST FEW HOURS OF TRADING)
4)(28-AUGUST-2009,11:06AM):-BUY SUZLON(24SEP2009) 100CA(4.35) ONLY ABOVE 4.50/- WITH STOPLOSS 3.95/- TARGET 7.50/- IF CROSSES THENEVEN 10/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 4.90/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 750/- RUPEES PROFIT PER LOT AS OUR CLIENTS HOLD THIS OPTION CALL EVEN IN DOWNTREND ALSO LATER THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 7500.00/- INJUST FEW HOURS OF TRADING)
5)(28-AUGUST-2009,11:37AM):-BUY TATAMOTORS(490.45) ONLY ABOVE 491.50/- WITH STOPLOSS 486.45/- TARGET 501.25/- IF CROSSES THENEVEN 506.45/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY HIGH IS 494.85/- OUR CLIENTS EXIT AT HIGHER LEVELS WITH MARGINAL GAIN IN THIS STOCK TODAY)
6)(28-AUGUST-2009,01:22PM):-BUY UNITECH(95.15) ONLY ABOVE 95.50/- WITH STOPLOSS 94.45/- TARGET 99.90/- IF CROSSES THENEVEN 102.50/- ALSO POSSIBLE.
(IN UNITECH OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 99.65/- OUR PAID CLIENTS EXIT AT HIGHER LEVELS NEARLY 3.50/- RUPEES PROFIT PER SHARE THEREFORE ON 5000 SHARES TOTAL PROFIT IS Rs 17500.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE BUY CALL AT LOWER LEVELS TO OUR YAHOO MESSENGER CLIENTS ON (DLF UP 5.50% INTRADAY NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING) & (JPASSOCIAT UP 5.50% INTRADAY NEARLY 10/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)}.
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 28-AUGUST-2009 TRADING:-
Markets end flat with cautious optimism.
The market opened marginally lower yesterday on weak global cues but soon recovered and moved into positive territory on selective buying in frontline stocks. However, a fresh bout of selling at higher levels thereafter pulled down the Sensex in the red again. The market appeared lackluster throughout the session with bouts of buying and selling intermittently. Investors appeared reluctant to build fresh positions instead pressed sales at higher levels in the absence of any new trigger. Market participants were engaged in shifting positions to new September derivative series whereby Nifty future rollover is estimated to be around 69-71%. Meantime, the commerce minister unveiled the five-year foreign policy, setting a target of US$ 200 billion worth exports for next fiscal. Under the policy the government extended tax holiday and duty refund for exporters, while allowing duty free capital goods import. Meantime, the Sensex after dipping to a low of 15685 in morning trades progressively moved up into the positive territory rising to 15,853 an hour past noon, but gave up most of its gains and closed with paltry gain of 11 points at 15,781. The Nifty closed the session flat with marginal gain of 7 points at 4688 making a low of 4645 and a high of 4707 in intra day trades. Pharmaceutical, capital goods and select IT shares remained firm throughout the session yesterday besides power, auto and oil stocks finding support at lower levels. The market will open today with new derivative series of September which is hoped to remain steady. However, clients are advised to watch the market trend before building large positions.
NIFTY FUTURE (Last close 4697.80)
The counter closed flat yesterday with the expiry of August derivative series. The market remained lackluster throughout the session yesterday with bouts of buying and selling at intervals. The counter opens today with new September derivative series which is hoped to remain steady. Chart patterns for NF appear positive but to keep up with the upward momentum the counter needs to remain and trade above 4717.75 whereby it may move further to 4737/4762. Strong support for NF exists at 4659.25 which if breached decisively NF may slide to 4642/4619.
(IN NIFTY FUTURE OUR ALMOST FIRST TARGET OF SHORT ACHIEVED SUCCESSFULLY IN AFTERNOON ITS TODAY LOW IS 4643/- NEARLY 15/- POINTS PROFIT LATER OUR FIRST TARGET OF BUY ALSO ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4753.80/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 35/- POINTS PROFIT SO TOTAL PROFIT POINTS 50/- SO ON ONE LOT PROFIT IS 2500/- RUPEES THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
RELIANCE CAPITAL FUTURE (Last close 841.20)
The company provides corporate advisory services like project finance, management of issues for raising capital and managing exposure to currencies and interest rates. It is also involved in custodian and depository activities, asset management, insurance, and real estate development. The company which holds 100% in Reliance Life Insurance is contemplating to come out with IPO once a policy decision is taken by the government. Meantime the stock of the company after moving range bound during the past three trading sessions closed yesterday flat with marginal gain with very high volume. The stock appears positive on charts and may move up to 858/873 once it trades and remains above 845.75. Strong support for the stock exists at 834.50.
(IN RELIANCE CAPITAL FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 881/- OUR PAID CLIENTS BOOK HUGEEEEE PROFIT AT HIGHER LEVELS NEARLY 9500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 95000.00/- IN JUST FEW HOURS OF TRADING)
ICSA INDIA FUTURE (Last close 186.80)
The company is engaged in providing software development services and technology solutions for the power, telecommunication and other sectors. The company also provides rural electrification, construction of sub-stations and conversion of LT line to HT lines. The company at its Board meet held on August 17, 2009, inter alia, has recommended declaration of Dividend @ 70% for the financial year 2008-2009, subject to the approval of Members at the ensuing AGM. The company has Rs 2,000 crore strong order book to be executed within next two years. The company earns over 90% of its revenues from public sector entities which comes from two streams — embedded solutions and infrastructure services. Meantime, the stock after remaining range bound during the past few trading sessions closed yesterday with high volumes gaining over 2%. The stock appears positive on charts and may move up to 193/197 once it trades and remains above 187.75. Strong support for the stock exists at 184.25.
(IN ICSA FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 200/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFIT AT HIGHER LEVELS NEARLY 13200/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 132000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 28-AUGUST-2009 TRADING. OUR BEST WISHES FOR TRADE.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 27-AUGUST-2009
1)(27-AUGUST-2009,10:04AM):-BUY SBIN(1741.85) ONLY ABOVE 1745/- WITH STOPLOSS 1734.95/- TARGET 1788.05/- IF CROSSES THENEVEN 1803.45/- ALSO POSSIBLE.
(IN SBIN ITS TODAY HIGH IS 1769/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 20/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
2)(27-AUGUST-2009,10:13AM):-BUY RELCAPITAL(832) ONLY ABOVE 834/- WITH STOPLOSS 824.95/- TARGET 848.90/- IF CROSSES THENEVEN 858/- ALSO POSSIBLE.
(IN RELCAPITAL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 859/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 23/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 23000.00/- IN JUST FEW HOURS OF TRADING)
3)(27-AUGUST-2009,10:23AM):-BUY WELGUJ(241.05) ONLY ABOVE 243/- WITH STOPLOSS 236/- TARGET 250/- IF CROSSES THENEVEN 265/- ALSO POSSIBLE.
(IN WELGUJ OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 249.80/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 6/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
4)(27-AUGUST-2009,10:33AM):-BUY SATYAMCOMP(109.50) ONLY ABOVE 110/- WITH STOPLOSS 108.45/- TARGET 113.55/- IF CROSSES THENEVEN 115.25/- ALSO POSSIBLE.
(IN SATYAMCOMP OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 115.45/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 12500.00/- IN JUST FEW HOURS OF TRADING)
5)(27-AUGUST-2009,10:50AM):-BUY RELIANCE(2026.50) ONLY ABOVE 2034/- WITH STOPLOSS 2019.95/- TARGET 2068.15/- IF CROSSES THENEVEN 2089.60/- ALSO POSSIBLE.
(IN RELIANCE ITS TODAY HIGH IS 2059/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 22/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 22000.00/- IN JUST FEW HOURS OF TRADING)
6)(27-AUGUST-2009,11:43AM):-BUY ESSAROIL(149.15) ONLY ABOVE 150/- WITH STOPLOSS 144.95/- TARGET 165/- IF CROSSES THENEVEN 175/- ALSO POSSIBLE.
(IN ESSAROIL ITS TODAY HIGH IS 151.35/- OUR CLIENTS EXIT WITH MARGINAL GAIN WHEREAS THIS STOCK SHOWS HUGE STRENGHT TODAY AS CHARTS INDICATING THIS STOCK SOON TOUCH 180/- )
7)(27-AUGUST-2009,01:46PM):-BUY PUNJLLOYD(264.10) ONLY ABOVE 265/- WITH STOPLOSS 257.45/- TARGET 271.95/- IF CROSSES THENEVEN 280/- ALSO POSSIBLE.
(IN PUNJLLOYD ITS TODAY HIGH IS 267.80/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY WHERE AS THIS STOCK SHOWS HUGE BUILDUP FOR SEPTEMBER SERIES THEREFORE IT MAY SOON TOUCHES HIGHER LEVELS)
8)(27-AUGUST-2009,01:54PM):-BUY UNITECH(24SEP2009) 95CA(6.30) ONLY ABOBE 6.50/- WITH STOPLOSS 4.45/- TARGET 10/- IF CROSSES THENEVEN 14/- ALSO POSSIBLE.
(IN UNITECH OPTION CALL ITS TODAY HIGH IS 7.20/- OUR CLIENTS EXIT ABOVE 7/- SO NEARLY 2000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 27-AUGUST-2009 TRADING:-
Markets close positive amid cautious optimism.
The market opened marginally higher yesterday on the back of positive closing in U S bourses overnight and strong Asian cues. The markets remained range bound till noon but a little past noon after the latest data from the government revealed a slowdown in infrastructure growth, nervous investors off loaded a good part of their holdings pulling down the Sensex in the negative territory for a while. However, the market bounced back and closed on a firm note on hectic buying in IT stocks and a few old economy stocks together with short-covering ahead of derivatives expiry today. Market participants remained hopeful that economic reforms will significantly boost growth in later half of this financial year. The Sensex, finally after making a high of 15,831 in afternoon trade, ended the day gaining 81 points at 15,769.85, while the Nifty closed at 4680, netting a marginal gain of 21 points. The market breadth remained strong as out of 2687 stocks traded on BSE, 1943 stocks closed higher. 851 stocks declined and 73 stocks ended flat. The markets may remain highly volatile today in view of August F & O expiry and therefore, clients are advised to trade with utmost caution.
NIFTY FUTURE (Last close 4680.85)
The counter after gap up opening yesterday on strong global cues remained range bound till noon but a little past noon the markets saw a sudden sell off after the release of government data showing slowdown in infrastructure growth. However, the markets soon recovered and the NF finally closed with marginal gain of 19 points amid moderate volatility. The counter appears positive on charts but to maintain upward momentum it needs to trade and remain above 4697.75 whereby it may move up to 4721/4748. Strong short term support for NF exists at 4639.25 which if breached decisively NF may slide to 4619/4589.
(IN NIFTY FUTURE ITS TODAY HIGH IS 4712/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 550/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 5500.00/- IN JUST FEW HOURS OF TRADING)
INDIA CEMENT FUTURE (Last close 129.90)
The Company, based in Southern India is engaged in manufacturing and marketing cements. The company’s profit rose marginally to Rs 144.28 crore in the quarter ended June 2009 as against Rs 142.14 crore during the previous quarter ended June 2008 despite economic slowdown. The company had in the month of June 09 recommended dividend at the rate of Rs 2 per share for the financial year 2008-2009. The company hopes to do better in the remaining quarters of this financial year with economic revival in sight. Meantime, the stock after moving range bound during the past five trading sessions closed yesterday above its intermediate trend line with positive bias. The stock appears positive on charts and may move up to 134/137 once it trades above 130.75. Strong support for the stock exists at 128.25.
(IN INDIACEM FUTURE ITS TODAY HIGH IS 132.60/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
PANTALOON RETAIL FUTURE (Last close 310.45)
The company owns and operates retail stores throughout India that cater to a wide cross-section of the Indian society. It operates Big Bazaar, Food Bazaar, Central and Pantaloons. The company’s stock are trading firm since quite some time on the news that private equity funds may pick up a portion of the company’s equity as it needs cash to expand its networks of stores. Meantime, the stock after remaining range bound during the past four trading session closed yesterday gaining marginally crossing its intermediate trend line. The stock appears positive on charts and may move up to 317/323 once it trades and remains above313.75. Strong support for the stock exists at 307.25.
(IN PANTALOONR FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 325/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 8500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 85000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR RESEARCHED WORK FOR EXECUTIVE & MANAGER PLAN CLIENTS HELP THEM IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT FROM 27-AUGUST-2009 TRADING.OUR BEST WISHES WITH THEM.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 26-AUGUST-2009
1)(26-AUGUST-2009,09:59AM):-BUY SELAN(310.80) ONLY ABOVE 312/- WITH STOPLOSS 302.95/- TARGET 325.85/- IF CROSSES THENEVEN 335.70/- ALSO POSSIBLE.
(IN SELAN ITS TODAY HIGH IS 323.85/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 9/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 9000.00/- IN JUST FEW HOURS OF TRADING)
2)(26-AUGUST-2009,10:03AM):-BUY TECHM(900.70) ONLY ABOVE 905/- WITH STOPLOSS 894.95/- TARGET 935.45/- IF CROSSES THENEVEN 975.95/- ALSO POSSIBLE.
(IN TECHM OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 935/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 27/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 27000.00/- IN JUST FEW HOURS OF TRADING)
3)(26-AUGUST-2009,10:14AM):-BUY ROLTA(188.40) ONLY ABOVE 189.50/- WITH STOPLOSS 186.45/- TARGET 201.15/- IF CROSSES THENEVEN 214.65/- ALSO POSSIBLE.
(IN ROLTA ITS TODAY HIGH IS 191.70/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1.50/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 1500.00/- IN JUST FEW MINUTES OF TRADING)
4)(26-AUGUST-2009,10:38AM):-BUY EDUCOMP(4267.80) ONLY ABOVE 4275/- WITH STOPLOSS 4249.95/- TARGET 4367.95/- IF CROSSES THENEVEN 4569/- ALSO POSSIBLE.
(IN EDUCOMP ITS TODAY HIGH IS 4349/- OUR PAID CLIENTS EXIT AT HIGHER LEVELS NEARLY 65/- RUPEES PROFIT PER SHARE THEREFORE ON 250 SHARES TOTAL PROFIT IS Rs 16250.00/- IN JUST FEW HOURS OF TRADING)
5)(26-AUGUST-2009,10:49AM):-BUY TATAMOTORS(501.05) ONLY ABOVE 505/- WITH STOPLOSS 494.95/- TARGET 520.25/- IF CROSSES THENEVEN 547.30/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY HIGH IS 505.70/- AS ITS MOSTLY REMAIN BELOW OUR BUY PRICE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
6)(26-AUGUST-2009,10:51AM):-BUY RNRL(84.90) ONLY ABOVE 85.50/- WITH STOPLOSS 82.20/- TARGET 90/- IF CROSSES THENEVEN 97.50/- ALSO POSSIBLE.
(IN RNRL OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 90.05/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 4/- RUPEES PROFIT PER SHARE THERFORE ON 2500 SHARES TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY NEAR 11:30AM WE GIVE SHORT CALL ON MCDOWELL-N AT THAT TIME IT TRADING NEAR 925/- TO OUR YAHOO MESSENGER PAID CLIENTS LATER IT FALLS TO 907/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING.}
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 26-AUGUST-2009 TRADING:-
Markets close positive after late hour rally.
The market opened gap down yesterday on weak global cues and drifted further with the Sensex dipping to a low of 15423 in morning trades but a rally around early noon on hectic short covering in selected index heavyweight stocks pulled the market up. However, the markets thereafter, appeared moving in a range bound manner till late afternoon when a sharp rebound was noticed on heavy buying support of frontline stocks aiding the market to close in the positive territory. The Sensex finally managed to end the session with a marginal gain of 59 points at 15688. The Nifty closed the session flat with a marginal gain of 16 points after touching a high of 4672 and a low of 4582 in intra day trades yesterday. FMCG, oil and pharmaceutical stocks fared better but IT stock were the star performers in yesterday’s trading. Further, select auto, capital goods and realty stocks showed strength but PSU, metal and banking stocks showed poorly. The market breadth however, remained quite strong with 2816 stocks traded on BSE, 1681 stocks closed with gains while1060 stocks declined and 75 stocks ended flat. Markets may remain highly volatile today ahead of F & O expiry tomorrow and therefore, clients are advised to trade with caution.
NIFTY FUTURE (Last close 4660.95)
The counter opened gap down yesterday on weak global cues but managed to close with marginal gain aided by late hour rally. The counter remained highly volatile with intra day swing of more than 100 points. The counter however, remained subdued till early noon and took support at 4582, an exact level indicated in these columns yesterday and bounced back thereafter on hectic buying and short covering in front line stocks. The NF barely touched the resistance level indicated in these columns yesterday and retraced. Further, the counter remains positive on charts but to maintain its upward momentum it needs to trade and remain above 4692.75 whereby it may move further to 4717/4742. Strong support for NF exists at 4627.25 which if breached decisively NF may slide further to 4606/4583.
(IN NIFTY FUTURE ITS TODAY HIGH IS 4703/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 400/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 4000.00/- IN JUST FEW HOURS OF TRADING)
CIPLA FUTURE (Last close 261.35)
The company manufactures pharmaceutical products which include anti-asthmatics, anti-cancer, anti-inflammatory, anti-depressant and other therapeutic index including animal health care products. The company’s net profit surged 151.60% to Rs 400.85 crore on 28.7% rise in net sales to Rs 4229.46 crore in Q1 June 2009 over Q1 June 2008. Recently, Cipla got rights to manufacture and sell generic version of oseltamivir (Tamiflu), which is used worldwide to treat swine flu. Meantime, Bayer Healthcare's petition, to stop the DCGI from giving marketing approval to the company for the generic version of the Bayer's patented kidney cancer drug, Nexavar was dismissed by the Delhi High Court thereby helping the company to boost its bottom line with increased revenue. However, the stock of the company after remaining range bound during the past four trading sessions closed yesterday marginally higher with positive bias. The stock appears positive on charts and may move up to 266/269 once it trades and remains above 262.25. Strong support for the stock exists at 259.25.
(IN CIPLA FUTURE ITS TODAY HIGH IS 264.25/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW MINUTES OF TRADING)
INDIA INFOLINE FUTURE (Last close 136.70)
The company is engaged in the brokerage and financial services business providing securities related products, broking, investment management, insurance, banking and institutional brokerage products to retail and institutional customers. Net profit of the company rose 8.06% to Rs 44.50 crore in the quarter ended June 2009 as against Rs 41.18 crore during the previous quarter ended June 2008 despite difficult conditions prevailing in the capital market during the said period. . The company plans to launch new products for mass affluent categories with assets above 0.5 million rupees to 10 million rupees to grow its wealth management business. Meantime, the stock has been moving with positive bias with higher bottoms during the past four trading sessions indicating strength of the stock. The stock closed yesterday with high volumes crossing its intermediate trend line gaining over 2%. The stock appears positive on charts and may move up to 141/144 once it trades above 137.50. Strong support for the stock exists at 134.50.
(IN INDIAINFO FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 141.90/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 8750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 87500.00/- IN JUST FEW HOURS OF TRADING)
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 25-AUGUST-2009
1)(25-AUGUST-2009,INTRADAY):-BUY NIFTY(27AUG2009) 4500PE(13.50) WITH STOPLOSS 9.05/- TARGET 35/- THEN 50/- IF CROSSES THENEVEN 80/- ALSO POSSIBLE.
(IN NIFTY OPTION CALL OUR CLIENTS ENTER AT 15/- AS MARKET OPENS LATER IT GOES TO 21.80/- OUR CLIENTS EXIT ABOVE 20/- WITH NEARLY 35% PROFIT IN LITTLE TIME SO ON ONE LOT PROFIT IS 250/- RUPEES IN LITTLE TIME THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 2500.00/- IN JUST LITTLE TIME.)
2)(25-AUGUST-2009,09:59AM):-BUY VIDEOIND(223.85) ONLY ABOVE 225/- WITH STOPLOSS 219.95/- TARGET 239.30/- IF CROSSES THENEVEN 255/- ALSO POSSIBLE.
(IN VIDEOIND ITS TODAY HIGH IS 233.90/- OUR PAID CLIENTS EXIT AT HIGHER LEVELS NEARLY 7/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 14000.00/- IN JUST FEW HOURS OF TRADING)
3)(25-AUGUST-2009,10:03AM):-BUY TATAMOTORS(463.85) ONLY ABOVE 465.50/- WITH STOPLOSS 450.95/- TARGET 476.35/- IF CROSSES THENEVEN 491/- ALSO POSSIBLE.
(IN TATAMOTORS OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 493.15/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 25/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
4)(25-AUGUST-2009,10:10AM):-BUY ROLTA(172.25) AT CMP WITH STOPLOSS 166.45/- TARGET 178/- IF CROSSES THENEVEN 185/- ALSO POSSIBLE.
(IN ROLTA OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 187.70/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 14/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 35000.00/- IN JUST FEW HOURS OF TRADING)
5)(25-AUGUST-2009,10:16AM):-BUY PUNJLLOYD(258.70) AT CMP WITH STOPLOSS 250.45/- TARGET 270.40/- IF CROSSES THENEVEN 280/- ALSO POSSIBLE.
(IN PUNJLLOYD ITS TODAY HIGH IS 260.95/- OUR CLIENTS EXIT AT HIGHER LEVELS WITH MARGINAL GAIN IN THIS STOCK TODAY WHEREAS TODAY WE SEE HUGE BUILDUP IN THIS STOCK SO IT MAY ROCK UP IN COMING FEW DAYS)
6)(25-AUGUST-2009,10:32AM):-BUY RELIANCE(27AUG2009) 1980CA(25) AT CMP WITH STOPLOSS 19.95/- TARGET 35/- IF CROSSES THENEVEN 50/- ALSO POSSIBLE.
(IN RELIANCE OPTION CALL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 58.75/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 4500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 45000.00/- IN JUST FEW HOURS OF TRADING)
7)(25-AUGUST-2009,10:40AM):-BUY IBREALEST FUTURE(279.65) ONLY ABOVE 282/- WITH STOPLOSS 274.95/- TARGET 297.90/- IF CROSSES THENEVEN 305/- ALSO POSSIBLE.
(IN IBREALEST FUTURE ITS TODAY HIGH IS 285.60/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 3500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 35000.00/- IN JUST FEW HOURS OF TRADING)
8)(25-AUGUST-2009,10:59AM):-SHORT ABAN(1202) ONLY BELOW 1198.50/- WITH STOPLOSS 1215.05/- TARGET 1164.35/- IF BREAKS THENEVEN 1150/- ALSO POSSIBLE.
(IN ABAN ITS TODAY LOW IS 1190/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 6/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 6000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 25-AUGUST-2009 TRADING:-
Markets rally on strong global cues.
The market opened gap up yesterday and rallied higher on the back of encouraging economic reports last week from the U.S and strong Asian markets. Investors were seen active in picking up front line stocks aiding the market to maintain its up move. The mood of market participants too appeared extremely positive on strong global cues and with the government assurance last week that it will take all the required steps to control drought. As stocks cutting across sectors rallied higher, the Sensex surged to 15,676 after more than 120 points gap up opening. The Sensex finally ended the session gaining a whopping 388 points at 15628. The Nifty closed at 4642 recording a gain of 114 points or 2.52%. In intra-day trades, the Nifty hit a high of 4656. Realty stocks performed exceedingly well in yesterday’s trading making hefty gains together with FMCG, capital goods, metal, automobile and IT stocks. Markets may remain volatile ahead of F & O expiry and therefore, clients are advised to trade with caution.
NIFTY FUTURE (Last close 4651.80)
The counter after gap up opening yesterday on strong global cues managed to maintain its lead and rallied to make a high of 4668 on hectic buying in front line stocks and short covering ahead of F & O expiry. The counter finally closed the session gaining an impressive 115 points. The counter appears slightly over stretched but may maintain its up move once it trades and remains above 4678.75 whereby it may move up further to 4702/4723. Strong support for the NF exists at 4612.25 which if breached decisively it may slide to 4582/4558.
(IN NIFTY FUTURE OUR FIRST TARGET OF SHORT ACHIEVED SUCCESSFULLY BEFORE 12:00NOON TODAY ITS TODAY LOW IS 4581.60/- OUR CLIENTS EARN 30/- POINTS NEARLY 1500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
SESA GOA FUTURE (Last close 221.20)
Sesa Goa, an iron ore mining company of the Vedanta group, has been involved in iron ore mining, beneficiation and exports. It is also into the manufacture of pig iron and metallurgical coke. The company posted on a consolidated basis, the net profit at Rs 422.29 crore in Q1 June 2009, while it had a net profit of Rs 633.07 crore in Q1 June 2008 which was below market expectation. However, at the end of June quarter, the company's cash and cash equivalents stood at Rs 2,096 crore and its iron ore sales grew 46% to 4.73 million tonnes. The company hopes to do exceedingly well during the remaining period of FY 09-10. Meantime, the stock closed yesterday with positive bias gaining over 2% after its continuous drift since early this month. The stock appears to be positive on chart and may move up to 225/228 once it trades and remains above 221.75. Strong support for the stock exists at 219.25.
(IN SESAGOA FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 226.05/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 5000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 50000.00/- IN JUST FEW HOURS OF TRADING)
ADITYA BIRLA NUVO FUTURE (Last close 956.25)
The company is a diversified firm with interests in textiles, financial services, telecom and chemicals. The company reported a net loss of Rs 2.21 crore in Q1 June 2009 compared with a net profit of Rs 41.64 crore in Q1 June 2008. Sales fell 8.2% to Rs 965.85 crore in Q1 June 2009 over Q1 June 2008. The company needs equity to expand because its debt is already high. At the end of the last financial year, it had Rs 4,300 crore of debt against a net worth was Rs 3,744 core. The company therefore, is restructuring/devising certain schemes/plans to tide over the situation. Meantime, the stock after remaining firm throughout the past few trading sessions closed yesterday marginally lower after hitting a high of 991, indicating profit taking at higher levels. The counter may witness further profit booking at current levels and may slide to 942/934 once it trades and remains below 951.25. Strong resistance for the stock exists at 969.25.
(IN ABIRLANUVO FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 929.55/- OUR CLIENTS BOOK HUGE PROFIT AT LOWER LEVELS NEARLY 8000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 80000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT FROM THE MARKET ON 25-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 24-AUGUST-2009
1)(24-AUGUST-2009,09:59AM):-BUY ABAN(1205.05) ONLY ABOVE 1212.50/- WITH STOPLOSS 1199.95/- TARGET 1257.75/- IF CROSSES THENEVEN 1275/- ALSO POSSIBLE.
(IN ABAN ITS TODAY HIGH IS 1231.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
2)(24-AUGUST-2009,11:05AM):-BUY TATAMOTORS(446.45) AT CMP WITH STOPLOSS 439.95/- TARGET 460/- IF CROSSES THENEVEN 475/- ALSO POSSIBLE.
(IN TATAMOTORS OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 461.70/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 14/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 14000.00/- IN JUST FEW HOURS OF TRADING)
3)(24-AUGUST-2009,12;01PM):-BUY SUZLON(88.65) ONLY ABOVE 89.20/- WITH STOPLOSS 87.70/- TARGET 91.25/- IF CROSSES THENEVEN 94.45/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 89.90/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY WHEREAS TODAY IN Suzlon was looking good and was up nearly 3%. The stock added nearly 1 crore shares in open interest (August and September series put together)
4)(24-AUGUST-2009,12:45PM):-BUY TATATEA(963.25) ONLY ABOVE 970.25/- WITH STOPLOSS 949.95/- TARGET 1002.05/- IF CROSSES THENEVEN 1050.10/- ALSO POSSIBLE.
(IN TATATEA ITS TODAY HIGH IS 987.65/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 14/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS 14000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME. WE GIVE PREMARKET BUY CALL ON ABAN, HDIL, IVRCLINFRA & RANBAXY TODAY THROUGH YAHOO MESSENGER.ABAN IS ALSO OUR INTRADAY CALL AND RANBAXY IS OUR SUNDAY SPECIAL CALL.OUR HDIL UP 7.50% INTRADAY NEARLY 13/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 13000.00/- IN JUST FEW HOURS OF TRADING.OUR IVRCLINFRA UP 9% INTRADAY NEARLY 19/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 19000.00/- IN JUST FEW HOURS OF TRADING.}
SUNDAY SPECIAL 23-AUGUST-2009 WEEKLY SPECIAL E-MAIL:-
(short term (1-5weeks), medium term (1-2months) & long term (3months to 6months).
BUY GLENMARK(207.30) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY JYOTHYLAB(124.10) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY RANBAXY(311.65) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY GMRINFRA(134.75) FOR MEDIUM TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY FORTIS(109.10) FOR LONG TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
sharesprofitsure team.
(OUR ALL SUNDAY SPECIAL SHARES ARE HIGHLY RESEARCHED SO OUR PAID CLIENTS TRADE IN THEM TODAY TO EARN GOOD RETURN AS THEY ARE WELL STUDIED GIVEN.OUR PROFESSIONAL, EXECUTIVE PLAN & MANAGER PLAN CLIENTS MAKING HUGE MONEY THROUGH OUR THIS ADDITIONAL SERVICE ALSO )
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 24-AUGUST-2009 TRADING:-
Markets may remain volatile ahead of F & O expiry.
The market remained highly negative during the first half of the last week on China factor but with strong cues emanating from the global markets and Chinese markets recovering in later part of the week, markets recovered sharply and pared earlier losses. However, the Sensex despite cutting down its earlier losses closed in the negative losing around 170 points or 1.1% as it settled at 15,240. The Nifty closed lower by 51 points or 1.1% at 4528. The market may remain volatile this week on account of roll over of F & O contracts by the investors to September series. Poor rains this season till now will definitely weigh on the market. However, Prime Minister recently said that India is equipped to handle a widespread drought as there is room for several fiscal steps to cushion the impact of a dry spell. Further, FII’s activity and global cues too may continue to play a major role in setting the market direction. Meanwhile, despite reports that U S economy is well on the recovery path, eminent economists differ on this count and feel that a full recovery is still some way off. Back home, the market may see some short-covering ahead of derivatives expiry which may result in high volatility in the markets. Clients are therefore advised to trade with caution.
NIFTY FUTURE (Last close 4536.20)
The counter closed flat with marginal loss of 38 points during the previous week amid high volatility and intra week swing of more than 200 points. Markets remained highly negative during the first half of the last week under the influence of China factor. However, strong global cues in the second half of the week reversed the falling trend and markets managed to pare substantially its earlier losses. The counter this week may remain in the range of 4431-4639, break above NF may move further to 4678/4703, or else break below may take NF to 4393/4354. For today’s trading the counter to gain strength needs to trade and remain above 4553.75 whereby NF may move up to 4587/4612. Strong support for NF exists at 4487.25 which if breached decisively NF may slip to 4461/4432.
(IN NIFTY FUTURE OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4667.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS 30000.00/- IN JUST FEW HOURS OF TRADING)
APIL FUTURE (Last close 512.25)
The company is engaged in the business of design, engineering, manufacturing, procurement, supply, commissioning, servicing and renovation & modernization of power plants for utility and industrial users together with development and supply of air pollution control systems, equipment for pollution control and conservation of energy. The company has long list of pending contracts in hand at present. The company’s net profit rose 100.60% to Rs 36.75 crore in the quarter ended June 2009 as against Rs 18.32 crore during the previous quarter ended June 2008. Meantime, the stock after moving range bound during the previous week closed flat with marginal loss albeit with low volumes. The stock appears positive on weekly charts and may move up to 525/532 once it trades and remains above 515.75. Strong support for the stock exists at 507.25.
(IN APIL FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 527/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3600/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS 36000.00/- IN JUST FEW HOURS OF TRADING)
TATA COMMUNICATIONS FUTURE (Last close 497.85)
The company is engaged in the business of communications services. The Company operates in three business segments: Wholesale voice, Enterprise and Carrier data, and others. The Company’s wholesale voice segment includes international and national voice services. The company is in expansion mode and hopes very bright future with the increasing demand in the telecommunication sector. Meantime, the stock of the company after moving range bound during the past week closed flat with marginal loss but with positive bias. The stock appears attractive on weekly charts and may move up to 510/518 once it trades and remains above 500.75. Strong support for the stock exists at 494.25.
(IN TATACOMM FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 513.40/- NEARLY 4725/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 47250.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE FROM THE MARKET ON 24-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 21-AUGUST-2009
1)(21-AUGUST-2009,10:13AM)UY TATAMOTORS(429.30) ONLY ABOVE 431.50/- WITH STOPLOSS 424.95/- TARGET 445.90/- IF CROSSES THENEVEN 451.80/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY HIGH IS 436.80/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 4/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 4000.00/- INJUST FEW HOURS OF TRADING)
2)(21-AUGUST-2009,10:20AM):-SHORT TATASTEEL(436.80) ONLY BELOW 435/- WITH STOPLOSS 442.05/- TARGET 427.75/- IF BREAKS THENEVEN 420.50/- ALSO POSSIBLE.
(IN TATASTEEL ITS TODAY LOW IS 434.10/- BUT AS THIS STOCK MOSTLY REMAIN ABOVE OUR SHORT LEVEL THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
3)(21-AUGUST-2009,10:29AM):-BUY ABAN(1140) ONLY ABOVE 1143.75/- WITH STOPLOSS 1131.45/- TARGET 1181.05/- IF CROSSES THENEVEN 1200.15/- ALSO POSSIBLE.
(IN ABAN OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1185/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTT AT HIGHER LEVELS NEARLY 36/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 36000.00/- IN JUST FEW HOURS OF TRADING)
4)(21-AUGUST-2009,10:46AM):-SHORT DLF(368.25) ONLY BELOW 366/- WITH STOPLOSS 372.80/- TARGET 359.75/- IF BREAKS THENEVEN 350/- ALSO POSSIBLE.
(IN DLF ITS TODAY LOW IS 365.55/- BUT AS THIS STOCK MOSTLY REMAIN ABOVE OUR SHORT LEVEL OUR CLIENTS DO NOT TARDE IN THIS STOCK TODAY)
5)(21-AUGUST-2009,11:38AM):-BUY JPASSOCIAT(209.25) ONLY ABOVE 210/- WITH STOPLOSS 205.45/- TARGET 219.90/- IF CROSSES THENEVEN 225/- ALSO POSSIBLE.
(IN JPASSOCIAT ITS TODAY HIGH IS 211.15/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
6)(21-AUGUST-2009,11:52AM):-BUY ICICIBANK FUTURE(723) ONLY ABOVE 723.55/- WITH STOPLOSS 714.70/- TARGET 743.50/- IF CROSSES THENEVEN 752.15/- ALSO POSSIBLE.
(IN ICICIBANK FUTURE OUR ALMOST ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 751.40/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTTT AT HIGHER LEVELS NEARLY 8750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 87500.00/- IN JUST FEW HOURS OF TRADING)
7)(21-AUGUST-2009,12:55PM):-BUY RELIANCE(1914.60) ONLY ABOVE 1915/- WITH STOPLOSS 1889.95/- TARGET 1945.75/- IF CROSSES THENEVEN 1962.55/- ALSO POSSIBLE.
(IN RELIANCE ITS TODAY HIGH IS 1935/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 17/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 17000.00/- IN JUST FEW HOURS OF TRADING)
8)(21-AUGUST-2009,02:44PM):-BUY RELINFRA(1108.80) ONLY ABOVE 1112/- WITH STOPLOSS 1099.95/- TARGET 1133.25/- IF CROSSES THENEVEN 1150/- ALSO POSSIBLE.
(IN RELINFRA ITS TODAY HIGH IS 1117.35/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW MINUTES OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 21-AUGUST-2009 TRADING:-
Markets rebound on positive global cues.
The market opened gap up yesterday on strong global cues and witnessed broad based rally on strong buying in auto, banking, power, consumer durable and IT stocks A rebound in Asian markets led by a pullback in China and short covering after recent losses also helped stocks hold on to gains throughout the session except a strong round of selling in some blue chip stocks during the closing minutes. Auto stocks were the star performers and outperformed the broader market on reports about some improvement in the monsoon situation across the country. Meanwhile, inflation for the week ended August 8 rose marginally to minus 1.53 percent from minus 1.74 percent in the previous week, government data showed yesterday. Inflation in the year-ago period was 12.82 per cent. While the Sensex which opened strong yesterday closed at 15012 gaining 202 points after making a high of 15145 in intra day trades. The Nifty closed the session at 4453 with 59 points gain making a high of 4492 in intra day trades. The market breadth was fairly positive, with 1521 gainers versus 1146 decliners.
NIFTY FUTURE (Last close 4456.05)
The counter opened gap up yesterday on strong global cues and remained steady throughout the session with range bound movement. The counter finally closed with a gain of 70 points despite strong round of selling in closing minutes. The counter appears positive and may gain further strength once it trades and remains above 4477.75 whereby it may move up to 4502/4527. Strong support for the NF exists at 4432.25 which if breached decisively it may slide to 4411/4384.
(IN NIFTY FUTURE IN THE MORNING OUR FIRST TARGET OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4396.65/- OUR CLIENTS NEARLY 25/- POINTS PROFIT IN THE SHORT LATER IN THE AFTER NOON WHEN NIFTY START RISING OUR PAID CLIENTS PURCHASE NIFTY FUTURE AT OUR TECHNICAL LEVELS THEN OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4546.95/- OUR CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS THIS TIME NEARLY 65/- POINTS PROFIT SO TOTAL PROFIT 25+65=90/- POINTS SO RUPEES 4500/- PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 45000.00/- IN JUST FEW HOURS OF TRADING)
RELIANCE INFRA FUTURE (Last close 1098.60)
The company is engaged in generating, transmitting and distributing electricity together with electrical contracting, engineering, procurement and construction contracts and computer services. The company has recently been awarded in consortium Mumbai Metro II project costing around Rs. 11000 crores. With this win, RInfra further strengthen its position as the largest private sector metro rail operator in the country. Meantime, the stock after remaining range bound albeit with volatility closed yesterday gaining around 2% with positive bias. The stock appears positive on charts and may move up to 1123/1139 once it trades and remains above 1107.75. Strong support for the stock exists at 1090.25.
(IN RELINFRA FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1121.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 2750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 27500.00/- IN JUST FEW HOURS OF TRADING)
LITL FUTURE (Last close 407.40)
Lanco Infratech is engaged in the business of engineering, procurement and construction (EPC) and infrastructure development. The company is also a holding company with investments mainly in its subsidiaries engaged in the business of power generation, power trading and property development. On a consolidated basis, the net profit of the company rose 96.2% to Rs 115.85 crore on a 139.9% spurt in sales to Rs 2192.89 crore in Q1 June 2009 over Q1 June 2008. Its engineering, procurement and construction (EPC) order book position as on 30 June 2009 stands at Rs 9,467 crore. Meantime, the stock after remaining range bound during the past three trading sessions closed yesterday gaining over 2% with positive bias. The stock may further move to 415/422 once it trades and remains above 409.25. Strong support for the stock exists at 403.25.
(IN LITL FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 414.40/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 10200/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 102000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE FROM THE 21-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 20-AUGUST-2009
1)(20-AUGUST-2009,09:59AM):-BUY PATNI(412.20) ONLY ABOVE 415/- WITH STOPLOSS 405.95/- TARGET 439.35/- IF CROSSES THENEVEN 450/- ALSO POSSIBLE.
(IN PATNI ITS TODAY HIGH IS 415/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
2)(20-AUGUST-2009,10:02AM):-BUY EDUCOMP(3890) ONLY ABOVE 3905/- WITH STOPLOSS 3974.95/- TARGET 4002.55/- IF CROSSES THENEVEN 4086.40/- ALSO POSSIBLE.
(IN EDUCOMP ITS TODAY HIGH IS 3904.60/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
3)(20-AUGUST-2009,10:06AM):-BUY SUZLON(87.60) ONLY ABOVE 88.50/- WITH STOPLOSS 86.20/- TARGET 92/- IF CROSSES THENEVEN 94.10/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 88.30/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY WHEREAS WE SEE Suzlon added about 61 lakh shares in open interest; it is in a roll just a little more than 30% in trade today.)
4)(20-AUGUST-2009,10:10AM):-BUY ONGC(1188.20) ONLY ABOVE 1190.50/- WITH STOPLOSS 1169.95/- TARGET 1215/- IF CROSSES THENEVEN 1232/- ALSO POSSIBLE.
(IN ONGC ITS TODAY HIGH IS 1199.70/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 6/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TODAY PROFIT IS Rs 6000.00/- IN JUST FEW HOURS OF TRADING)
5)(20-AUGUST-2009,10:12AM):-BUY RELCAPITAL(811) ONLY ABOVE 815/- WITH STOPLOSS 799.95/- TARGET 841.55/- IF CROSSES THENEVEN 858.05/- ALSO POSSIBLE.
(IN RELCAPITAL ITS TODAY HIGH IS 812/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY AS WE GIVE SAFE TECHNICAL LEVELS ON THE STOCK TO ENTER WE ALWAYS WANT CAPITAL PROTECTION OF OUR CLIENTS WITH DAILY PROFIT IN OUR CLIENTS POCKETS)
6)(20-AUGUST-2009,10:31AM):-BUY NIFTY(27AUG2009) 4500CE(78.50) ONLY ABOVE 80/- WITH STOPLOSS 69.95/- TARGET 95/- IF CROSSES THENEVEN 120/- ALSO POSSIBLE.
(IN NIFTY OPTION CALL ITS TODAY HIGH IS 81.60/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS CALL TODAY)
7)(20-AUGUST-2009,10:44AM):-BUY IVRCLINFRA(336.35) AT CMP WITH STOPLOSS 329.95/- TARGET 357.50/- IF CROSSES THENEVEN 370/- ALSO POSSIBLE.
(IN IVRCLINFRA ITS TODAY HIGH IS 338/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
8)(20-AUGUST-2009,11:30AM):-BUY TATAMOTORS(438.45) ONLY ABOVE 440/- WITH STOPLOSS 434.95/- TARGET 449.15/- IF CROSSES THENEVEN 456.25/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY HIGH IS ONLY 440/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY AS WE GIVE SAFE TECHNICAL LEVELS ON THE STOCK TO ENTER WE ALWAYS WANT CAPITAL PROTECTION OF OUR CLIENTS WITH DAILY PROFIT IN CLIENTS POCKETS)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 20-AUGUST-2009 TRADING:-
China jitters haunt the market.
The market opened flat yesterday and within minutes selling pressure pulled down the Sensex into the negative territory. As the day progressed, the market remained under intense pressure whereby Sensex tumbled to day’s low, but a bout of fresh buying in front line stocks around late afternoon aided the market sentiment but that too remained short lived. And finally, the Sensex ended the day at 14,809 with a loss of 225 points or 1.5%, the Nifty settled at 4394, down 64 points or 1.45% from its previous close. In intra-day trades, the Nifty touched a low of 4353. Market participants preferred to unwound their positions on weak global cues, especially the sell-off in Chinese market on valuation concerns, reports about deceleration in India's merchandise exports for the tenth straight month and concerns on the monsoon. Clients are advised to trade with caution until clear market trend emerges.
NIFTY FUTURE (Last close 4386.05)
The counter after opening flat yesterday soon drifted lower under selling pressure on weak Asian cues. The counter thereafter remained under pressure till early afternoon when a fresh bout of buying in front line stocks substantially erased earlier losses but soon a wave of selling again pulled down the market in deep red. The NF finally closed the session losing 68 points. The counter has weakened since it has lost a massive 189 points during the past three trading sessions but a recovery may be expected once NF trades above 4427.75 whereby it may move up to 4458/4482. Strong support for the NF exists at 4339.25 which if breached decisively it may slide further to 4313/4294.
(IN NIFTY FUTURE OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4504/- OUR CLIENTS BOOK PROFIT TA HIGHER LEVELS NEARLY 2750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 27500.00/- IN JUST FEW HOURS OF TRADING)
INDIA BULLS REAL ESTATE FUTURE (Last close 228.85)
The company is engaged in construction and development of real estate which includes promotion, construction, development and sale of townships, residential and commercial property. Meantime, the company recently announced that it would set up a 250 acre industrial park near Katol, 40 km from Nagpur entailing an investment of around Rs. 5000 crores. The company hopes to close F Y 09-10 with reasonably good profit with the improvement in housing sector. Meanwhile, the stock is moving sideways for the past four trading sessions with moderate volumes. The stock closed marginally lower yesterday but remained with positive bias. The stock appears positive on charts and may move up to 235/239 once it trades above 230.25. Strong short term support for the stock exists at 225.25.
(IN IBREALEST FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 237.50/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 5200/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 52000.00/- IN JUST FEW HOURS OF TRADING)
YES BANK FUTURE (Last close 158.80)
The stock of the private sector bank closed yesterday gaining marginally with high volumes. The stock appears positive on chars and may move up to 164/167 once it trades and remains above 160.25. Strong support for the stock exists at 156.25. Further, the bank posted a 84 percent rise in April-June net profit on higher non-interest income, beating forecasts and hopes that the margins to improve further with the addition of more clients and developing a retail base. Meantime, the bank plans to expand its branch network six-fold to about 750 by 2015, partly funded by an equity sale, and expects credit growth this year of at least 35 percent, its chief executive said recently at a meet. .
(IN YESBANK FUTURE ITS TODAY HIGH IS 161.40/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1100/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 11000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 20-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 19-AUGUST-2009
1)(19-AUGUST-2009,09:59AM):-BUY CIPLA(272.90) ONLY ABOVE 273.25/- WITH STOPLOSS 267.45/- TARGET 280/- IF CROSSES THENEVEN 285/- ALSO POSSIBLE.
(IN CIPLA ITS TODAY HIGH IS 273.30/- AS THIS STOCK MOSTLY REMAIN BELOW OUR PURCHASE PRICE THEREFORE OUR CLIENTS DO NOT BUY THIS STOCK)
2)(19-AUGUST-2009,10:06AM):-BUY MPHASIS(548.15) ONLY ABOVE 550.50/- WITH STOPLOSS 536.95/- TARGET 580.10/- IF CROSSES THENEVEN 614.55/- ALSO POSSIBLE.
(IN MPHASIS ITS TODAY HIGH IS 553/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
3)(19-AUGUST-2009,10:23AM):-SHORT HEROHONDA(1377.85) ONLY BELOW 1372/- WITH STOPLOSS 1385.25/- TARGET 1338.15/- IF BREAKS THENEVEN 1310.15/- ALSO POSSIBLE.
(IN HEROHONDA ITS TODAY LOW IS 1344/- OUR PAID CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 25/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
4)(19-AUGUST-2009,10:29AM):-BUY ROLTA(167.75) ONLY ABOVE 169/- WITH STOPLOSS 164.95/- TARGET 178.90/- IF CROSSES THENEVEN 190.10/- ALSO POSSIBLE.
(IN ROLTA ITS TODAY HIGH IS 168.90/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
5)(19-AUGUST-2009,10:54AM):-BUY ICICIBANK FUTURE(719.95) ONLY ABOVE 725/- WITH STOPLOSS 714.95/- TARGET 745.80/- IF CROSSES THENEVEN 763.55/- ALSO POSSIBLE.
(IN ICICIBANK FUTURE ITS TODAY HIGH IS 725/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY BUT THIS STOCK LOOKING GOOD FOR NEXT DAY AS TODAY IN THE DEEP FALL THIS STOCK REMAIN FLAT)
6)(19-AUGUST-2009,11:14AM):-SHORT JPASSOCIAT(207.90) ONLY BELOW 207/- WITH STOPLOSS 212.15/- TARGET 195.65/- IF BREAKS THENEVEN 190.25/- ALSO POSSIBLE.
(IN JPASSOCIAT ITS TODAY LOW IS 204.10/- OUR CLIENTS EXIT AT LOWER LEVELS NEARLY 2/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW HOURS OF TRADING)
7)(19-AUGUST-2009,11:16AM):-SHORT RELINFRA(1105) ONLY BELOW 1104/- WITH STOPLOSS 1120.05/- TARGET 1073.25/- IF BREAKS THENEVEN 1047.90/- ALSO POSSIBLE.
(IN RELINFRA OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 1067.40/- OUR PAID CLIENTS BOOK HUGEEEEEEEEE PROFITTTTTTTT AT LOWER LEVELS NEARLY 32/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS 32000.00/- IN JUST FEW HOURS OF TRADING)
8)(19-AUGUST-2009,11:20AM):-SHORT SBIN(1698) ONLY BELOW 1695/- WITH STOPLOSS 1720.05/- TARGET 1656.45/- IF BREAKS THENEVEN 1625/- ALSO POSSIBLE.
(IN SBIN ITS TODAY LOW IS 1670/- OUR PAID CLIENTS EXIT AT LOWER LEVELS NEARLY 20/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS 20000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 19-AUGUST-2009 TRADING:-
Markets rebound after Monday’s loss.
The market opened marginally higher yesterday but around early noon considerable amount of short covering after a sharp loss in the previous session and selective buying in battered index heavy weights at lower levels amid some improvement in global investor sentiment helped the market bounce back sharply. As stocks across the board moved up sharply, the Sensex sailed past once again the psychological 15,000 mark a little past noon. The market breadth on the BSE was extremely positive, as gainers outnumbered losers by 1721 to 906. Sector-wise, capital goods, realty, metal and power stocks led the market higher, while IT, consumer durable, healthcare and oil/gas stocks ended with modest gains. Rising from the day's lows of 14,740 in early trading, the Sensex hit a high of 15,135 in the afternoon before finishing at 15,035, up 250 points or 1.69% from its previous close. Likewise, the Nifty rose 71 points to 4,459. Clients are advised to trade with caution and watch the market trend before taking large trade.
NIFTY FUTURE (Last close 4454.55)
The counter opened marginally higher yesterday and after remaining range bound during the first half an hour of trade made a sharp up move on hectic buying in front line stocks together with short covering. NF made a high of 4495 in mid afternoon trades. The counter witnessed high volatility and intra day swing of 135 points before finally closing with a gain of 81 points. The counter may maintain upward momentum once it trades and remains above 4473.75 whereby it may move up to 4519/4563. Strong support for NF exists at 4411.25 which if breached decisively NF may slide to 4380/4350.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4340.90/- OUR PAID CLIENTS BOOK HUGEEEEEEEEE PROFITTTTTTTTTT AT LOWER LEVELS NEARLY 3250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 32500.00/- IN JUST FEW HOURS OF TRADING)
JSW STEEL FUTURE (Last close 709.20)
The stock recently got a boost after its group firm JSW Energy filed a draft red herring prospectus with SEBI for IPO. JSW Energy will raise up to Rs 3,000 crore and will primarily use the money to part fund power projects and mining venture. The company has a capacity of 560 megawatts and is building 3,090 megawatts of capacity. Further, the company hopes a 72% growth in volumes during F Y 2009-10 as per their earlier guidance. Meantime, the stock after remaining range bound during the past three trading sessions closed yesterday gaining over 4% with high volumes The stock appears positive on charts and may move further up to 728/742 once it trades and remains above 714.75. Strong support for the stock exists at 697.25.
(IN JSWSTEEL FUTURE ITS TODAY HIGH IS 716.80/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
BANK OF INDIA FUTURE (Last close 318.45)
The PSU banking stock is moving range bound for the past one week with moderate volumes. The stock closed yesterday gaining marginally with positive bias crossing its short term trend line. The stock appears positive on charts and may move further up to 325/329 once it trades and remains above 319.75. Strong support for the stock exists at 315.25.
(IN BANKINDIA FUTURE ITS TODAY HIGH IS 321.50/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE FROM THE SHARE MARKET.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 18-AUGUST-2009
1)(18-AUGUST-2009,09:59AM):-BUY APTECHT(219.65) ONLY ABOVE 223/- WITH STOPLOSS 215.95/- TARGET 237.60/- THEN 246.85/- IF CROSSES THENEVEN 359.30/- ALSO POSSIBLE.
(IN APTECHT ITS TODAY HIGH IS 224.95/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
2)(18-AUGUST-2009,10:03AM):-BUY ABAN(113.20) ONLY ABOVE 1115/- WITH STOPLOSS 1099.95/- TARGET 1140/- IF CROSSES THENEVEN 1185/- ALSO POSSIBLE.
(IN ABAN OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1140/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 20/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
3)(18-AUGUST-2009,10:07AM):-BUY HDIL(274.05) ONLY ABOVE 275.50/- WITH STOPLOSS 266.95/- TARGET 297.35/- IF CROSSES THENEVEN 305.75/- ALSO POSSIBLE.
(IN HDIL ITS TODAY HIGH IS 283.25/- OUR PAID CLEINTS BOOK PROFIT AT HIGHER LEVELS NEARLY 7/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 7000.00/- IN JUST FEW HOURS OF TRADING)
4)(18-AUGUST-2009,10:12AM):-BUY SUZLON(86.70) ONLY ABOVE 87.25/- WITH STOPLOSS 84.95/- TARGET 91.20/- IF CROSSES THENEVEN 93.05/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 89.15/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1.50/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW HOURS OF TRADING)
5)(18-AUGUST-2009,10:47AM):-BUY TATASTEEL(27AUG2009) 460CA(11.40) ONLY ABOVE 13.75/- WITH STOPLOSS 9.15/- TARGET 20/- IF CROSSES THENEVEN 24/- ALSO POSSIBLE.
(IN TATASTEEL OPTION CALL ITS TODAY HIGH IS 16/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
6)(18-AUGUST-2009,10:53AM):-BUY RELINFRA FUTURE(1127) ONLY ABOVE 1130/- WITH STOPLOSS 1109.95/- TARGET 1156.40/-IF CROSSES THENEVEN 1202.20/- ALSO POSSIBLE.
(IN RELINFRA FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1159.40/- OUR PAID CLIENTS BOOK HUGEEEEEE PROFITTTTTT AT HIGHER LEVELS NEARLY 7000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 70000.00/- IN JUST FEW HOURS OF TRADING)
7)(18-AUGUST-2009,11:09AM):-BUY SESAGOA(230.90) ONLY BAOVE 231.50/- WITH STOPLOSS 225.95/- TARGET 242.65/- IF CROSSES THENEVEN 246.85/- ALSO POSSIBLE.
(IN SESAGOA ITS TODAY HIGH IS 232.85/- OUR CLIENTS EXIT WOTH MARGINAL VALUE IN THIS STOCK TODAY)
8)(18-AUGUST-2009,11:44AM):-SHORT INFOSYSTCH(1968) ONLY BELOW 1960/- WITH STOPLOSS 1970.05/- TARGET 1939.15/- IF BREAKS THENEVEN 1907.05/- ALSO POSSIBLE.
(IN INFOSYSTCH ITS TODAY LOW IS 1955/- OUR CLIENST EXIT AT LOWER LEVELS WITH MARGINAL VALUE IN THIS STOCK TODAY)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE BUY CALL IN THE MORNING ON (IFCI UP 10% INTRADAY OUR YAHOO MESSENGER CLIENTS BOOK HUGE PROFIT NEARY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 6000.00/- IN JUST FEW HOURS OF TRADING) & (JP ASOCIAT UP 6% INTRADAY OUR YAHOO MESSENGER CLIENST BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 8/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 8000.00/- IN JUST FEW HOURS OF TRADING)}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 18-AUGUST-2009 TRADING:-
Markets nose dive on China factor.
The market opened weak yesterday on the back highly negative Asian cues led by Chinese markets whereby the Sensex opened at 15284, down by around 128 points. The market failed to recover its opening loss and drifted deeper into the red in the afternoon. Index heavy weights together with reality, metal, automobile, oil & gas and bank stocks contributed to the fall amid sustained selling and pulled down the Sensex to an intra-day low of 14741. The Sensex finally ended 627 points lower at 14785 while the Nifty at 4388 losing a massive 192 points. The market breadth was extremely negative with losing stocks outnumbering the gainers by a wide margin. Market participants remained worried over the slowdown in the domestic economy due to deficient monsoon rains and inadequate support from domestic funds to counter FII selling. Across Asia, China's Shanghai Composite index slumped 5.79% to 2,871, the lowest level in two months on renewed worries about government policy over a possible tightening of bank lending policies, which sparked off heavy selling in global markets including ours. Clients are advised to trade with extreme caution keeping an eye on market trend.
NIFTY FUTURE (Last close 4372.60)
The counter after huge gap down opening yesterday on weak Asian cues lost a whopping 202 points. The market witnessed heavy sell off in index heavy weight stocks led by Reliance and the counter remained under selling pressure throughout the session breaching its intermediate weekly support after it dipped to a low of 4358 in intra day trades. The counter may recover today based on global cues once it trades and remains above 4394.75 whereby it may move up to 4437/4469. Strong short term support for NF exists at 4344.25 which if breached with volumes it may slide further to 4322/4293.
(IN NIFTY FUTURE OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4495/- OUR PAID CLIENTS BOOK HUGEEEEEEEEE PROFITTT AT HIGHER LEVELS NEARLY 4750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 47500.00/- IN JUST FEW HOURS OF TRADING)
ICSA FUTURE (Last close 166.25)
The company is an energy company engaged in the design and development of embedded solutions, infrastructure solutions and software applications for the power, gas, and water sectors like power application, pipeline services and Infrastructure for power. The company provides remote monitoring applications for oil, gas, mining, irrigation, transport and utilities sectors. The company also provides rural electrification, construction of sub-stations and conversion of LT line to HT lines. Meantime, the Board at its meeting held yesterday inter alia, has recommended dividend @ 70% for the F Y 2008-2009, subject to the approval of Members at the ensuing AGM. Meantime, the stock after remaining steady during the last two trading sessions lost around 6% yesterday amid heavy sell off in the market but it appears a value buy at CMP. The stock may move up to 175/179 once it trades with volumes and remains above 170.25. Strong support for the stock exists at 163.25.
(IN ICSA FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 174.95/- OUR PAID CLIENST BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 4800/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 48000.00/- IN JUST FEW HOURS OF TRADING)
KFA FUTURE (Last close 45.90)
The company has recently been granted a loan of five billion rupee from SBI on specific term and conditions to tide over cash shortage. The company to boost its revenue recently launched a new international route connecting Kolkata with Bangkok. Moreover, the company is planning to convert most of its domestic flights into no-frills services resulting in more attractive fares for consumers, but may pull down marginally the yield of airlines. Meantime, the stock after remaining steady during the previous two sessions closed yesterday losing more than 8% on highly negative sentiment. The company may further benefit with world oil prices sliding lower which were hovering around $ 66-67 yesterday. The stock may move up to 51/55 once it trades and remains above 47.25. Strong support for the stock exists at 44.25.
(IN KFA FUTURE AS THIS STOCK ALMOST REMAIN BELOW 47.25/- OUR CLIENTS DO NOT TRADE IN IT.)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE & MANAGER PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE FROM 18-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 17-AUGUST-2009
1)(17-AUGUST-2009,INTRADAY):-BUY NIFTY(27AUG2009) 4400PE(50.55) ONLY ABOVE 58.50/- WITH STOPLOSS 50.45/- TARGET 70/- IF CROSSES THENEVEN 90/- ALSO POSSIBLE.
(IN NIFTY OPTION CALL OUR ALL TARGETS ACHIEVED SUCCESSFULLY OUR CLIENTS ENTER NEAR 65/- LATER IT GOES TO 137/- WHICH IS ITS TODAY HIGH OUR PAID CLIENTS BOOK HUGEEEEEEEEEE PROFITTTTTTT AT HIGHER LEVELS NEARLY 3250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 32500.00/- IN JUST FEW HOURS OF TRADING)
2)(17-AUGUST-2009,09:59AM):-BUY NIITTECH(128.75) ONLY ABOVE 130/- WITH STOPLOSS 124.95/- TARGET 140.30/- IF CROSSES THENEVEN 152.40/- ALSO POSSIBLE.
(IN NIITTECH OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 145.20/- OUR PAID CLIENTS BOOK HUGEEEEEEEEEE PROFITTTTTTTTT AT HIGHER LEVELS NEARLY 12/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 18000.00/- IN JUST FEW HOURS OF TRADING)
3)(17-AUGUST-2009,10:04AM):-BUY NTPC(206.80) ONLY ABOVE 208.50/- WITH STOPLOSS 204.20/- TARGET 215.85/- IF CROSSES THENEVEN 219.55/- ALSO POSSIBLE.
(IN NTPC ITS TODAY HIGH IS ONLY 208.45/- THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
4)(17-AUGUST-2009,10:25AM):-BUY ONGC(1214.55) ONLY ABOVE 1220/- WITH STOPLOSS 1199.95/- TARGET 1249.45/- IF CROSSES THENEVEN 1278.40/- ALSO POSSIBLE.
(IN ONGC ITS TODAY HIGH IS 1215.65/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
5)(17-AUGUST-2009,10:48AM):-BUY NIITLTD(70.85) AT CMP WITH STOPLOSS 66/- TARGET 75.30/- IF CROSSES THENEVEN 81.50/- ALSO POSSIBLE.
(IN NIITLTD ITS TODAY HIGH IS 71.45/- OUR CLIENTS EXIT WITH MARGINAL LOW VALUE IN THIS STOCK TODAY BUT AS THIS STOCK SHOW HUGE STRENGHT TODAY SO ITS HIGH POSSIBILITY THAT THIS STOCK MAY CROSS 75/- IN VERY SHORT TERM)
6)(17-AUGUST-2009,11:26AM):-BUY SUZLON FUTURE(88.80) ONLY ABOVE 90/- WITH STOPLOSS 87.45/- TARGET 94.60/- IF CROSSES THENEVEN 100/- ALSO POSSIBLE.
(IN SUZLON FUTURE ITS TODAY HIGH IS 89.20/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SUNDAY SPECIAL 16-AUGUST-2009 WEEKLY SPECIAL E-MAIL:-
(short term (1-5weeks), medium term (1-2months) & long term (3months to 6months).
BUY BIOCON(227.75) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY NAGARFERT(33.75) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY APOLLOTYRE(41.65) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY MANINDS(51.80) FOR MEDIUM TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY PETRONET(71.65) FOR LONG TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
sharesprofitsure team.
(OUR ALL SUNDAY SPECIAL SHARES ARE HIGHLY RESEARCHED SO OUR PAID CLIENTS TRADE IN THEM IN THE COMING TIME TO EARN GOOD RETURN AS THEY ARE WELL STUDIED GIVEN.OUR PROFESSIONAL, EXECUTIVE PLAN & MANAGER PLAN CLIENTS MAKING HUGE MONEY THROUGH OUR THIS ADDITIONAL SERVICE ALSO )
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLANS ON NIFTY & STOCKS FUTURE FOR 17-AUGUST-2009 TRADING:-
Markets close the week with cautious optimism.
The previous week finally managed to close with the Sensex gaining over 205 points and the Nifty moving up by around 100 points, despite posting losses on the first three trading sessions of the week. The market sentiment was boosted in later part of the week with better industrial production data for June, the unveiling of the new direct tax code by the finance ministry and U.S. Fed’s optimistic outlook for the U.S. economy. It is hoped that the buoyant IIP data and the proposal to reduce tax rates on individuals and corporates together with scrapping of STT under the new tax code may keep the momentum alive this week. However, the market despite closing the week on a positive note saw FIIs pressing sales on profit taking at higher levels. FIIs have made a net investment of just Rs 264 crore in the domestic stock markets in August. Meantime, investor sentiment appears cautious on weak monsoon conditions which have created drought like situation in several parts of the country. However, government assurance to fight out the monsoon short fall may bring some relief to the market but global cues and FIIs view will also weigh on the market this week.
NIFTY FUTURE (Last close 4575.10)
The counter closed the week gaining 94 points amid high volatility and intra week swing of more than 270 points. The counter recovered sharply on the last two trading sessions of the week on the back of positive global cues, strong IIP data for June 09 and new tax code unveiled by the government. The counter may remain in the range of 4483-4705 this week, break above NF may move up to 4735/4767 or else break below NF may slip further to 4439/4392. For today’s trading the counter to gain strength needs to trade and remain above 4602.75 whereby it may move up to 4632/4667. Strong support for the counter exists at 4545.25 which if breached decisively NF may slip to 4523/4502.
(IN NIFTY FUTURE AS ITS OPEN NEAR 4500/- OUR CLIENTS SHORT IMMEDIATELY AS WE GIVE VERY BEARISH MARKET OUTLOOK SIGNAL THAN LATER OUR BOTH THE SHORT TARGETS 4439/- AND 4392/- ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4358/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTTT AT LOWER LEVELS NEARLY 6250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 62500.00/- IN JUST FEW HOURS OF TRADING)
LUPIN FUTURE (Last close 978.10)
Lupin is engaged in manufacturing active pharmaceutical ingredients and formulations. The stock after making a huge surge of around 250 rupees during the past one month saw profit taking on Friday last with the stock declining by more than 2%. The stock may witness further profit booking at CMP and may slide to 967/959 once it trades and remains below 975.25. Strong resistance for the stock exists at 987.75. Meantime, 93.96 lakh shares representing 11.30% of the equity capital of the company (as on 30 June 2009) remains pledged by the promoters. The total promoter shareholding in the company is 50.44% (as on 30 June 2009).
(IN LUPIN FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 953/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 1750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 17500.00/- IN JUST FEW HOURS OF TRADING)
HDIL FUTURE (Last close 295.75)
The company is a real estate development company extending services for the development of residential, commercial, and retail real estate . The company’s Q1 profit announced last month declined 66.20% to Rs 107.47 crore in the quarter ended June 2009 as against Rs 317.93 crore during the previous quarter ended June 2008. The stock of the company has been on a rise during the past one month mainly on successful completion of QIP through equity dilution. The stock has surged more than 80% during the past one month but witnessed profit taking last Friday. The stock may face further profit booking at CMP and may slide to 287/282 once it trades and remains below 292.25. Strong resistance for the stock exists at 299.75.
(IN HDIL FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS OPEN NEAR 290/- WHERE ARE CLIENTS SHORT THAN LATER IT FALLS TO 266.10/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTT AT LOWER LEVELS NEARLY 15000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 150000.00/- IN JUST FEW HOURS OF TRADING.)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE & MANAGER PLANS CLEINTS MAY HELP THEM TO TAKE CORRECT DECISION ON TIME TO EARN HUGE FROM THE SHARE MARKET. OUR GOOD WISHES FOR TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET AND WANT TO TRADE IN NIFTY OPTIONS THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AND IF YOU NEED OUR SURESHOT & JACKPOT CALLS WITH 100% PROFIT SURE IN EVERY CALL PLUS OUR PORTFOLIO MANAGEMENT SERVICE THEN GO FOR OUR MANAGER PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 14-AUGUST-2009
1)(14-AUGUST-2009,10:02AM):-BUY STER(667.45) ONLY ABOVE 670/- WITH STOPLOSS 659.95/- TARGET 683/- IF CROSSES THENEVEN 700.85/- ALSO POSSIBLE.
(IN STER ITS TODAY HIGH IS 676.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
2)(14-AUGUST-2009,10:04AM):-BUY ONGC(1183.30) ONLY ABOVE 1185/- WITH STOPLOSS 1169.95/- TARGET 1206.80/- IF CROSSES THENEVEN 1225/- ALSO POSSIBLE.
(IN ONGC OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1230/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 40/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 40000.00/- IN JUST FEW HOURS OF TRADING)
3)(14-AUGUST-2009,10:07AM):-BUY ROLTA(165.45) AT CMP WITH STOPLOSS 159.95/- TARGET 174.35/- IF CROSSES THENEVEN 180/- ALSO POSSIBLE.
(IN ROLTA ITS TODAY HIGH IS 167.35/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 1500.00/- IN JUST FEW HOURS OF TRADING)
4)(14-AUGUST-2009,10:15AM):-BUY RNRL(82.75) AT CMP WITH STOPLOSS 80.45/- TARGET 85.75/- IF CROSSES THENEVEN 90/- ALSO POSSIBLE.
(IN RNRL ITS TODAY HIGH IS 84.50/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 2500.00/- IN JUST FEW HOURS OF TRADING)
5)(14-AUGUST-2009,10:19AM):-SHORT ABAN(1177.80) ONLY BELOW 1170/- WITH STOPLOSS 1190.05/- TARGET 1145.35/- IF BREAKS THENEVEN 1120.75/- ALSO POSSIBLE.
(IN ABAN ITS LOW IS AFTER OUR CALL GIVEN IS 1161/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 6/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 6000.00/- IN JUST FEW MINUTES OF TRADING)
6)(14-AUGUST-2009,12:22PM):-SHORT JPASSOCIAT(219.50) ONLY BELOW 217.10/- WITH STOPLOSS 222.05/- TARGET 212/- IF BREAKS THENEVEN 205/- ALSO POSSIBLE.
(IN JPASSOCIAT ITS TODAY LOW IS 215.40/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 1.25/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 2500.00/- IN JUST FEW HOURS OF TRADING)
7)(14-AUGUST-2009,12:39PM):-BUY RELIANCE(27AUG2009) 2100CA(39.25) ONLY ABOVE 40.05/- WITH STOPLOSS 34.95/- TARGET 50/- IF CROSSES THENEVEN 65/- ALSO POSSIBLE.
(IN RELIANCE OPTION CALL OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 49.25/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1050/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 10500.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE BUY CALL ON EDUCOMP TO OUR YAHOO MESSENGER CLIENTS AT 3925/- LATER IT GOES TO 3999/- OUR CLIENTS BOOK GOOD PROFIT AT HIGHER LEVELS THEREFORE ON 500 SHARES TOTAL PROFIT IS Rs 35000.00/- IN JUST FEW HOURS OF TRADING.}
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 14-AUGUST-2009 TRADING:-
Markets maintain upward momentum.
Markets opened gap up yesterday on the back of strong global cues and positive comments from the US Fed on Wednesday that the economy appeared to be "leveling out" from its worst recession in decades. Back home, the new tax code that was unveiled on Wednesday by the finance ministry which proposes a substantial reduction in rates of tax and abolition of STT also aided the market sentiment. Short covering by bears was also noticed at higher levels. Market participants were seen doing brisk buying which was so sustained and widespread that stocks cutting across sectors made new highs as the day progressed. The Sensex which opened nearly 200 points higher ended the session at 15518 gaining a massive 498 points. The Nifty closed the session yesterday gaining a whopping 147 points at 4605. However, concerns over a below normal monsoon, remained among the investors but strong industrial output and low inflation more than offset that negative. Also, S & P’s view that India's economy will continue to grow despite global downturn on the back of strong domestic demand kept the momentum alive for the market yesterday. However, clients are advised to trade with caution keeping a close watch on market trend.
NIFTY FUTURE (Last close 4611.10)
The counter after huge gap up opening yesterday moved range bound till mid noon when a fresh bout of buying in front line stocks further lifted the indices to day’s high in final hour of trading. The counter finally closed the session gaining a whopping 151 points. The counter may continue its upward momentum in case it remains and trades above 4644.75 whereby it may further move up to 4665/4697. Strong support for the NF exists at 4575.25 which if breached decisively NF may slide to 4537/4511.
(IN NIFTY FUTURE OUR CLIENTS SHORT AT 4575.20/- LATER IT FALLS TO 4552.20/- OUR CLIENTS EXIT WITH PROFIT AT LOWER LEVELS NEARLY 1000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW HOURS OF TRADING)
FEDERAL BANK FUTRUE (Last close 223.50)
The Kochi-based private sector bank, has a significant presence in Kerala. Presently Federal Bank has more than 500 branches in India with over 300 in Kerala alone. The Bank's net profit surged 100.1% to Rs 136.38 crore on 21.4% rise in total income to Rs 1021.79 crore in Q1 June 2009 over Q1 June 2008. The bank hopes to maintain its current year’s progress. Meantime the stock after remaining range bound during the past few trading sessions closed yesterday gaining over one percent with positive bias albeit with low volumes. The stock appears positive on charts and may move further up to 227/231 once it trades with volumes and remains above 224.75. Strong support for the stock exists at 221.00.
(IN FEDERALBNK FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 229/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 2550/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 25500.00/- IN JUST FEW HOURS OF TRADING)
PTC INDIA FUTURE (Last close 91.65)
PTC provides power-trading services through purchase from surplus utilities and sales to deficit ones. It catalyses the development of power projects and is also the identified nodal agency for cross border trading and exchange of power with the neighboring countries. It has cross border operations in Nepal, Bhutan and Bangladesh. The company’s net profit rose 76.87% to Rs 33.34 crore in the quarter ended June 2009 as against Rs 18.85 crore during the previous quarter ended June 2008.The company hopes to do better in the rest of the quarters. Meanwhile the stock of the company is moving range bound during the past one week with moderate volumes. The stock closed flat yesterday with positive bias. The stock may move up to 95/98 once it trades and remains above 92.25. Strong support for the stock exists at 90.00
(IN PTC FUTURE ITS REMAIN BELOW OUR BUY PRICE OF 92.30/- THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 14-AUGUST-2009 TRADING.OUR BEST WISHES FOR TRADE.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 13-AUGUST-2009
1)(13-AUGUST-2009,10:04AM):-BUY SESAGOA(237.50) ONLY ABOVE 340/- WITH STOPLOSS 230.95/- TARGET 270/- IF CROSSES THENEVEN 283/- ALSO POSSIBLE.
(IN SESAGOA ITS TODAY HIGH IS 245/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW HOURS OF TRADING)
2)(13-AUGUST-2009,10:08AM):-BUY DLF(385.30) AT CMP WITH STOPLOSS 380.45/- TARGET 407.95/- IF CROSSES THENEVEN 415/- ALSO POSSIBLE.
(IN DLF ITS TODAY HIGH IS 401.95/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
3)(13-AUGUST-2009,10:17AM):-BUY JSWSTEEL(700.40) ONLY ABOVE 702.50/- WITH STOPLOSS 692.45/- TARGET 732.15/- IF CROSSES THENEVEN 750/- ALSO POSSIBLE.
(IN JSWSTEEL OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 731.80/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 25/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
4)(13-AUGUST-2009,10:37AM):-BUY NIFTY(27AUG2009) 4600CE(95.20) AT CMP WITH STOPLOSS 89.95/- TARGET 104/- THEN 110/- IF CROSSES THENEVEN 117/- ALSO POSSIBLE.
(IN NIFTY OPTION CALL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 136.25/- OUR PAID EXECUTIVE PLAN CLIENTS BOOK VERY HUGEEEEEEEE PROFITTTTT AT HIGHER LEVELS NEARLY 2000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
5)(13-AUGUST-2009,10:52AM):-BUY ABAN(1190) ONLY ABOVE 1195/- WITH STOPLOSS 1174.95/- TARGET 1241.90/- IF CROSSES THENEVEN 1308.95/- ALSO POSSIBLE.
(IN ABAN ITS TODAY HIGH IS 1219.70/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 10/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW HOURS OF TRADING)
6)(13-AUGUST-2009,11:04AM):-BUY PUNJLLOYD(235.60) ONLY ABOVE 238/- WITH STOPLOSS 231.95/- TARGET 249.85/- IF CROSSES THENEVEN 260/- ALSO POSSIBLE.
(IN PUNJLLOYD ITS TODAY HIGH IS 239.90/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 1000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 13-AUGUST-2009 TRADING:-
Markets stage a smart recovery in late hour rally.
The market opened gap down yesterday with the Sensex down by 122 points at 14953 on weak cues from the Asian markets and worries about monsoon and swine flu. The market remained in the red throughout despite strong June IIP numbers announced around noon. Market participants preferred to stay away from the markets even at attractively low rates. However, a sustained buying around late afternoon in reality and health care besides selected frontline stocks pulled up the market to take near its day’s high. The market finally closed with the Sensex losing marginally 54 points at 15020 amid high volatility and intra day swing of more than 300 points. The Sensex made a high of 15044 and a low of 14701 yesterday. The Nifty ended down by 14 points at 4,458. Earlier in the day, it tumbled 112 points to a low of 4,359 but managed to recover and touched a high of 4,474. The market breadth was fairly negative - out of 2,681 stocks traded 1,367 declined while 1,215 advanced.
Meantime, the U.S. Federal Reserve on Wednesday, August 12, resolved to keep the key interest rates unchanged, at 0 to 0.25%. The FOMC observed that the US economic activity is levelling out, and conditions in financial markets have shown further improvement in recent weeks. The DOW closed gaining around 120 points. Back home, clients are advised to trade with caution in view of high volatility in the market.
NIFTY FUTURE (Last close 4460.00)
The counter closed flat yesterday amid high volatility and intra day swing of more than 120 points. The counter remained subdued on monsoon woes and swine flu and dipped to a low of 4351 in early afternoon trades, but bounced back and closed near day’s high with marginal loss. The counter may gain strength once it trades and remains above 4497.75 whereby it may move up to 4542/4573. Strong support for the NF exists at 4421.25 which if breached decisively it may further slip to 4398/4375.
(IN NIFTY FUTURE OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4623.80/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 4000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 40000.00/- IN JUST FEW HOURS OF TRADING)
ICICI BANK FUTURE (Last close 711.15)
The stock of the largest private sector bank in India lost more than100 rupees in a short span of four trading sessions from a high of 807 made on 6th August 2009 amid general sell off in the market during this week. However, the stock appears to be consolidating at current prices and may move up to 724/733 once it trades and remains above 714.25. Strong short term support for the stock exists at 705.75.
(IN ICICIBANK FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 760/- OUR PAID CLIENTS BOOK HUGEEEEEE PROFITTT AT HIGHER LEVELS NEARLY 12250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 122500.00/- IN JUST FEW HOURS OF TRADING)
DIVI’S LAB FUTURE (Last close 473.30)
The company’s product range comprises generic active pharmaceutical ingredients (APIs) and custom synthesis of APIs, intermediates and specialty ingredients for innovator pharma giants. The company lost around 20% of its stock valuation during the past nine trading sessions after it posted dismal Q1 results. However, the stock appears to be consolidating at CMP and may move up further to 481/486 once it trades and remains above 475.25. Strong support for the stock exists at 468.25.
(IN DIVISLAB FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 487.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3100/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 31000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 13-AUGUST-2009 TRADING. OUR GOOD WISHES FOR TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 12-AUGUST-2009
1)(12-AUGUST-2009,10:05AM):-SHORT STER(617.50) ONLY BELOW 615/- WITH STOPLOSS 621.05/- TARGET 606.35/- IF BREAKS THENEVEN 594.30/- ALSO POSSIBLE.
(IN STER ITS TODAY LOW IS 608.05/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW MINUTES OF TRADING)
2)(12-AUGUST-2009,10:08AM):-SHORT ICICIBANK(699.25) ONLY BELOW 695/- WITH STOPLOSS 710.05/- TARGET 669.90/- IF BREAKS THENEVEN 650/- ALSO POSSIBLE.
(IN ICICIBANK ITS TODAY LOW IS 690.20/- OUR CLIENTS EXIT AT LOWER LEVELS NEARLY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW MINUTES OF TRADING)
3)(12-AUGUST-2009,10:13AM):-SHORT HDIL(255.70) ONLY BELOW 255/- WITH STOPLOSS 261.05/- TARGET 241.55/- IF BREAKS THENEVEN 233.65/- ALSO POSSIBLE.
(IN HDIL ITS TODAY LOW IS 252.30/- OUR CLIENTS EXIT AT LOWER LEVELS NEARLY 1/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 1000.00/- IN JUST FEW MINUTES OF TRADING)
4)(12-AUGUST-2009,10:16AM):-BUY RENUKA(189.15) ONLY ABOVE 190.50/- WITH STOPLOSS 184.95/- TARGET 198.35/- IF CROSSES THENEVEN 105/- ALSO POSSIBLE.
(IN RENUKA ITS TODAY HIGH IS 191.45/- OUR CLIENTS EXIT AT HIGHER LEVELS WITH MARGINAL VALUE IN THIS STOCK TODAY)
5)(12-AUGUST-2009,10:29AM):-BUY BPCL(508.75) ONLY ABOVE 511/- WITH STOPLOSS 499.95/- TARGET 522.40/- IF CROSSES THENEVEN 536.80/- ALSO POSSIBLE.
(IN BPCL ITS TODAY HIGH IS 518/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW MINUTES OF TRADING)
6)(12-AUGUST-2009,11:33AM):-BUY CIPLA(285.20) ONLY ABOVE 286/- WITH STOPLOSS 283.45/- TARGET 297.20/- IF CROSSES THENEVEN 302.55/- ALSO POSSIBLE.
(IN CIPLA ITS TODAY HIGH IS 286.20/- AS THIS STOCK MOSTLY REMAIN BELOW OUR PURCHASE PRICE THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
7)(12-AUGUST-2009,12:31PM):-SHORT ABAN(1078.80) ONLY BELOW 1065/- WITH STOPLOSS 1090.05/- TARGET 1016.55/- IF BREAKS THENEVEN 982.85/- ALSO POSSIBLE.
(IN ABAN ITS TODAY LOW IS 1062/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
8)(12-AUGUST-2009,01:43PM):-BUY TATAMOTORS(429.75) ONLY ABOVE 430/- WITH STOPLOSS 419.95/- TARGET 447/- IF CROSSES THENEVEN 465/- ALSO POSSIBLE.
(IN TATAMOTORS OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 450.70/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 28/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 28000.00/- IN JUST FEW HOURS OF TRADING)
9)(12-AUGUST-2009,01:49PM):-BUY SUZLON(83.10) ONLY ABOVE 83.50/- WITH STOPLOSS 80.95/- TARGET 88.05/- IF CROSSES THENEVEN 90.75/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 86.95/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 6000.00/- IN JUST FEW HOURS OF TRADING)
10)(12-AUGUST-2009,01:53PM):-BUY HDIL(260.35) ONLY ABOVE 261/- WITH STOPLOSS 252/- TARGET 270.25/- IF CROSSES THENEVEN 278.15/- ALSO POSSIBLE.
(IN HDIL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 280.90/- OUR PAID CLIENTS BOOK HUGEEEEEEEEE PROFITTTTTTTTTT AT HIGHER LEVELS NEARLY 18/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 27000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 12-AUGUST-2009 TRADING:-
Markets close higher with cautious optimism.
The market opened weak yesterday but within minutes returned to the positive territory on bargain hunting at lower levels and short covering by bears. The market thereafter, remained range bound till late afternoon when a sharp sell off pulled down the market in the red but a late hour recovery thereafter finally brought the market to the positive close. Market mood however, remained one of caution amid concerns over monsoon woes and the spread of swine flu. Stocks from auto pack together with reality and metal remained firm yesterday on strong buying support. Select pharma, power and oil stocks too rallied on strong buying support. The Sensex, after making a high of 15218 and a low of 14684 during yesterday’s session finally closed the day gaining a modest 64 points at 15074. The Nifty closed with a gain of 33 points at 4471, well off the day's low of 4398. The Nifty touched a high of 4510 yesterday. Clients are advised to remain cautious in view of high volatility in the market.
NIFTY FUTURE (Last close 4464.45)
The counter after opening lower yesterday moved up in the positive territory within half an hour of trade in early morning and thereafter remained range bound till late afternoon when a sudden sell off in front line stocks pulled down the NF to 4423 very near to our level indicated in these e-mails yesterday. The NF thereafter smartly recovered on bargain hunting and short covering by bears and finally closed the session gaining 38 points. The counter to keep up its upper momentum needs to trade and remain above 4502.75 whereby NF may move further to 4529/4553. Strong support for NF exists at 4428.25 which if breached decisively NF may slip further to 4403/4383.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4351.20/- OUR CLIENTS BOOK HUGE PROFIT AT LOWER LEVELS NEARLY 2750/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 27500.00/- IN JUST FEW HOURS OF TRADING)
ABB FUTURE (Last close 658.90)
The company provides power and automation technologies to utility and industry customers worldwide. The stock price of the company got impacted after the company announced its Q1 results last month which were below expectation. However, the company expects to close the current financial year much better with the economy showing signs of improvement. Meantime, the stock after remaining range bound during the past three trading sessions closed yesterday above its short term trend line with positive bias. The stock appears positive on charts and may move up to 667/672 once it trades and remains above 661.25. Strong support for the stock exists at 655.25.
(IN ABB FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 666.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 2500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
AUROBINDO PHARMA FUTURE (Last close 617.25)
The company which started off as a supplier of drug raw materials to semi- regulated markets, has moved up the value chain and currently sells finished generic drugs in regulated markets. Its net profit surged 216.3% to Rs 126.11 crore on 16.2% rise in net sales to Rs 752.23 crore in Q1 June 2009 over Q1 June 2008. The company has to its credit various USFDA approvals. Meantime, the stock after remaining sideways during the past two trading sessions closed yesterday marginally higher with positive bias albeit with low volumes. The stock appears positive on charts and may move up to 626/631 once it trades with volumes and remains above 619.75. Strong support for the stock exits at 614.25.
(IN AUROPHARMA FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 635/- OUR CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 7000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 70000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK HELP OUR EXECUTIVE PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 12-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 11-AUGUST-2009
1)(11-AUGUST-2009,09:59AM):-BUY HCLTECH(251) ONLY ABOVE 253/- WITH STOPLOSS 247.45/- TARGET 260.55/- IF CROSSES THENEVEN 270/- ALSO POSSIBLE.
(IN HCLTECH OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 261.90/- OUR PAID CLIENTS BOOK HUGE PROFIT ABOVE OUR FIRST TARGET NEARLY 7.50/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
2)(11-AUGUST-2009,10:12AM):-BUY SUZLON(83) ONLY ABOVE 84/- WITH STOPLOSS 79.95/- TARGET 93.05/- IF CROSSES THENEVEN 96.30/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 85.30/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
3)(11-AUGUST-2009,10:23AM):-BUY TCS(555.30) ONLY ABOVE 556/- WITH STOPLOSS 539.95/- TARGET 572.70/- IF CROSSES THENEVEN 593.60/- ALSO POSSIBLE.
(IN TCS ITS TODAY HIGH IS 558/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
4)(11-AUGUST-2009,10:45AM):-BUY EVERONN(341) ONLY ABOVE 342/- WITH STOPLOSS 330.90/- TARGET 354.35/- THEN 377.15/- IF CROSSES THENEVEN 390.55/- ALSO POSSIBLE.
(IN EVERONN ITS TODAY HIGH IS 345.10/- OUR CLIENTS EXIT AT HIGHER LEVELS IN THIS STOCK TODAY)
5)(11-AUGUST-2009,10:50AM):-BUY M&M(785.35) ONLY ABOVE 788/- WITH STOPLOSS 774.95/- TARGET 823.75/- THEN 887.35/- IF CROSSES THENEVEN 924.75/- ALSO
POSSIBLE.
(IN M&M ITS TODAY HIGH IS 806.40/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
6)(11-AUGUST-2009,10:59AM):-BUY TATAMOTORS(410.90) ONLY ABOVE 412/- WITH STOPLOSS 407.45/- TARGET 438.40/- IF CROSSES THENEVEN 451.85/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY HIGH IS 436.40/- OUR PAID CLIENTS BOOK HUGEEEEEE PROFITTTTTTT AT HIGHER LEVELS NEARLY 22/- RUPEES PROFIT PER SHARE THERFORE ON 1000 SHARES TOTAL PROFIT IS Rs 22000.00/- IN JUST FEW HOURS OF TRADING)
7)(11-AUGUST-2009,12:11PM):-BUY HDIL(260.60) ONLY ABOVE 261/- WITH STOPLOSS 254.95/- TARGET 270.50/- IF CROSSES THENEVEN 277.55/- ALSO POSSIBLE.
(IN HDIL ITS TODAY HIGH IS 267.80/- OUR PAID CLIENTS BOOK GOOD PROFIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW HOURS OF TRADING)
8)(11-AUGUST-2009,02:25PM):-SHORT JPASSOCIAT(210.85) ONLY BELOW 210/- WITH STOPLOSS 214.55/- TARGET 202.65/- IF BREAKS THENEVEN 194.25/- ALSO POSSIBLE.
(IN JPASSOCIAT ITS TODAY LOW IS 204.65/- OUR PAID CLIENTS BOOK SMART PROFIT NEARLY 4/- RUPEES PROFIT PER SHARE THERFORE ON 2000 SHARES TOTAL PROFIT IS Rs 8000.00/- IN JUST FEW MINUTES OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 11-AUGUST-2009 TRADING:-
Markets close lower on selling pressure.
The market opened gap up yesterday on the back of strong global cues but failed to sustain at higher levels and pared all the earlier gains on major sell off in the final hour of trade in front line stocks on concerns of bleak prospects and slow progress of monsoon. The market witnessed a couple of rallies yesterday in the afternoon trades pulling it into the positive territory but finally the Sensex closed losing 150 points at 15009 after making a high of 15417 and a low of 14902 during the session while the Nifty closed lower by 43 points at 4437. The Nifty touched a high of 4562 and a low of 4399 yesterday. Besides concerns of a poor monsoon, the spread of swine flu also weighed on the market sentiment leading to loss of confidence among the investors. Auto stocks were the hardest hit in yesterday’s trade together with oil and metal, however, IT and selected few from pharma sector remained firm throughout the session. Clients are advised to remain in the sideline for the time being till a clear market trend is visible.
NIFTY FUTURE (Last close 4425.75)
The counter after impressive gap up opening yesterday slipped in the red within first hour of trade on heavy selling in front line stocks amid concerns of dismal prospects of monsoon. The counter did manage to return to the positive territory in early afternoon but it remained short lived and NF slipped to a low of 4388 in the final hour of trade on intense selling pressure. NF finally closed the session losing 55 points. The counter has weakened over the past four trading sessions but a recovery is not ruled out once NF trades and remains above 4444.75 whereby it may move up to 4475/4506. Strong support for the NF exists at 4376.25 which if breached decisively it may slide further to 4341/4319.
(IN NIFTY FUTURE OUR ALL TARGETS OF BUY ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 4515/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTT AT HIGHER LEVELS NEARLY 3250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 32500.00/- IN JUST FEW HOURS OF TRADING)
RANBAXY LAB FUTURE (Last close 261.90)
The company manufactures and markets, generic pharmaceuticals, value added generic pharmaceuticals, branded generics, active pharmaceuticals and intermediates. The stock of the company closed yesterday flat with positive bias despite negative sentiment in the market. The stock appears positive on charts and may move up to 267/272 once it trades and remains above 262.75. Strong support for the stock exists at 258.25.
(IN RANBAXY FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 280.90/- OUR PAID CLIENTS BOOK HUGEEEEEEEE PROFITTTTTTTT AT HIGHER LEVELS NEARLY 12000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 120000.00/- IN JUST FEW HOURS OF TRADING)
JINDAL STEEL AND POWER FUTURE (Last close 2703.30)
The stock has lost around 600 rupees during the past eight trading sessions, after lower than expected Q1 results, from a peak of 3240 on 29th July 09 to a low of 2660 made yesterday. The stock may rebound after consolidation from CMP once it trades and remains above 2712.75 whereby it may move up to 2738/2779. Strong support for the stock exists at 2694.25.
(IN JINDALSTEL FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 2872/- OUR PAID CLIENTS BOOK HUGEEEEEEEEEEE PROFITTTTTT AT HIGHER LEVELS NEARLY 24000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 240000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE FROM THE MARKET ON 11-AUGUST-2009 TRADING. OUR BEST WISHES FOR TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 10-AUGUST-2009
1)(10-AUGUST-2009,09:59AM):-BUY ABAN(1104) ONLY ABOVE 1110/- WITH STOPLOSS 1084.95/- TARGET 1150.45/- IF CROSSES THENEVEN 1175.95/- ALSO POSSIBLE.
(IN ABAN ITS TODAY HIGH IS 1123.70/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 8/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 8000.00/- IN JUST FEW MINUTES OF TRADING)
2)(10-AUGUST-2009,10:05AM):-BUY TCS(522.35) ONLY ABOVE 525/- WITH STOPLOSS 513.95/- TARGET 534.50/- IF CROSSES THENEVEN 550/- ALSO POSSIBLE.
(IN TCS OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 551.75/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 23/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 23000.00/- IN JUST FEW HOURS OF TRADING)
3)(10-AUGUST-2009,10:33AM):-SHORT TATAMOTORS(410) ONLY BELOW 408.50/- WITH STOPLOSS 420.05/- TARGET 379/- THEN EVEN 343.30/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY LOW IS 394.15/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 10/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW HOURS OF TRADING)
4)(10-AUGUST-2009,10:54AM):-BUY TATASTEEL(462.50) AT CMP WITH STOPLOSS 458.45/- TARGET 483.35/- IF CROSSES THENEVEN 490/- ALSO POSSIBLE.
(IN TATASTEEL ITS TODAY HIGH IS 469.60/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 4/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 4000.00/- IN JUST FEW HOURS OF TRADING)
5)(10-AUGUST-2009,12:14PM):-BUY AXISBANK(824.50) ONLY ABOVE 825/- WITH STOPLOSS 814.95/- TARGET 839.05/- IF CROSSES THENEVEN 863.40/- ALSO POSSIBLE.
(IN AXISBANK OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 849.70/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
6)(10-AUGUST-2009,12:20PM):-BUY DLF(370.95) ONLY ABOVE 372/- WITH STOPLOSS 364.95/- TARGET 378.75/- IF CROSSES THENEVEN 390.35/- ASLO POSSIBLE.
(IN DLF ITS TODAY HIGH IS 380/- OUR CLIENTS EXIT WITH MARGINAL VALUE
IN THIS STOCK TODAY)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SUNDAY SPECIAL 09-AUGUST-2009 WEEKLY SPECIAL E-MAIL:-
(short term (1-5weeks), medium term (1-2months) & long term (3months to 6months).
BUY PRISMCEM(53.45) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY IBREALEST(228.85) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY NTPC(212.40) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY GVKPIL(43.85) FOR MEDIUM TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
BUY BALRAMCHIN(120.70) FOR LONG TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS) .
sharesprofitsure team.
(OUR ALL SUNDAY SPECIAL SHARES ARE HIGHLY RESEARCHED SO OUR PAID CLIENTS TRADE IN THEM IN THE COMING TIME TO EARN GOOD RETURN AS THEY ARE WELL STUDIED GIVEN.OUR PROFESSIONAL & EXECUTIVE PLAN CLIENTS MAKING HUGE MONEY THROUGH OUR THIS ADDITIONAL SERVICE ALSO )
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY FUTURE & STOCKS FUTURE FOR 10-AUGUST-2009 TRADING:-
Monsoon woes dent the markets.
The market last week suffered a big loss with the Sensex losing by over 500 points on profit taking as monsoon worries resurfaced with the government data showing that the seasonal rise in water level in reservoirs was slower than normal, raising the prospect of more power cuts with a drop in hydropower output. The Sensex, finally closed the week losing a whopping 510 points at 15160 after making a high of 16002 and a low of 15104 during the week. Market participants may keenly watch the data on industrial production due this week which may have a significant say in the market's direction as was seen last time when a better-than-expected rise of 2.7% in industrial production in May had significantly improved the market sentiment. Moreover, with the quarterly reporting season having come to end investors may look for fresh triggers in monsoon getting favourable during the rest of the period. Further, apart from economic and monsoon reports from the home front, data from US will also impact the near term direction of the market. Clients are therefore, advised to trade cautiously.
NIFTY FUTURE (Last close 4480.85)
The counter closed the week losing a massive 155 points amid high volatility and intra week swing of more than 265 points. Clients will appreciate that NF last week oscillated between 4465-4730, very near to the weekly range indicated in these e-mails on last Monday the 3rd August 09. Meantime, the counter this week may remain in the range of 4396-4569, break above NF may move up to 4617/4664 or else break below NF may slide further to 4369/4341. For today’s trading the counter to gain strength needs to remain and trade above 4517.75 whereby it may move up to 4541/4575. Strong short term support for NF exists at 4439.25 which if breached decisively NF may further slide to 4417/4398.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4388/- OUR CLIENTS BOOK GOOD PROFIT AT LOWER LEVELS NEARLY 2500/- RUPEES PROFIT PER LOT THEREFORE ON10 LOT TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
GAIL FUTURE (Last close 317.45)
The company is India's largest natural gas transmission company. In addition, it processes natural gas into LPG, apart from having a small presence in the petrochemicals and oil & gas exploration sectors. The Government of India holds 57.34% stake in GAIL India (as on 30 June 2009). The stock lost favour of the investors and drifted lower, after, the company posted below than expected Q1 results last month. However, the stock after remaining range bound closed the week losing over 3% amid general sell off. However, the stock fared better on Friday last when it gained over one percent despite highly negative market sentiment. The stock appears positive on daily charts and may move up to 325/329 once it trades and remains above 319.25. Strong support for the stock exists at 313.75.
(IN GAIL FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 324.75/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 4500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 45000.00/- IN JUST FEW MINUTES OF TRADING)
SUN PHARMA FUTURE (Last close 1188.15)
The company is an international, integrated, speciality pharmaceutical company. It manufactures and markets a large basket of pharmaceutical formulations as branded generics as well as generics in India, US and several markets across the world. The company’s Q1 results announced last month were well below the street expectation. Meantime, the stock closed the week with marginal gain of over 2% with average volumes. The stock appears positive on weekly charts and may move up to 1211/1239 once it trades and remains above 1193.75. Strong support for the stock exists at 1179.25.
(IN SUNPHARMA FUTURE IT OPENS AT 1200/- AND GO TO 1208/- IN JUST FEW MINUTES OUR SOME CLIENTS PURCHASE AT 1200/- AND EXIT ABOVE 1205/- THEY EARN NEARLY 1000/- PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW MINUTES OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE FROM THE MARKET ON 10-AUGUST-2009.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 07-AUGUST-2009
1)(07-AUGUST-2009,10:15AM):-BUY LITL(409.20) ONLY ABOVE 412.75/- WITH STOPLOSS 398.45/- TARGET 430/- IF CROSSES THENEVEN 439.30/- ALSO POSSIBLE.
(IN LITL ITS TODAY HIGH IS 416/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 2/- RUPEES PROFIT PER SHARE THERFORE ON 1000 SHARES TOTAL PROFIT IS Rs 2000.00/- IN JUST FEW MINUTES OF TRADING)
2)(07-AUGUST-2009,10:21AM):-BUY ONGC(1163.60) ONLY ABOVE 1170/- WITH STOPLOSS 1141.20/- TARGET 1193.25/- IF CROSSES THENEVEN 1233.55/- ALSO POSSIBLE.
(IN ONGC ITS TODAY HIGH IS 1177/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW MINUTES OF TRADING)
3)(07-AUGUST-2009,10:25AM):-BUY TATASTEEL(456) ONLY ABOVE 461/- WITH STOPLOSS 444.95/- TARGET 489.65/- IF CROSSES THENEVEN 500.95/- ALSO POSSIBLE.
(IN TATASTEEL ITS TODAY HIGH IS 463.50/- OUR CLIENST EXIT AT HIGHER LEVELS NEARLY 2/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 2000.00/- IN JUST FEW MINUTES OF TRADING)
4)(07-AUGUST-2009,10:55AM):-SHORT TATAMOTORS(405) ONLY BELOW 404.70/- WITH STOPLOSS 415.05/- TARGET 391/- IF BREAKS THENEVEN 366.90/- ALSO POSSIBLE.
(IN TATAMOTORS ITS TODAY LOW IS 400/- OUR CLIENTS EXIT AT LOWER LEVELS NEARLY 4/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 4000.00/- IN JUST FEW MINUTES OF TRADING)
5)(07-AUGUST-2009,01:12PM):-SHORT RELCAPITAL(860) ONLY BELOW 855/- WITH STOPLOSS 870.05/- TARGET 809.35/- IF BREAKS THENEVEN 790/- ALSO POSSIBLE.
(IN RELCAPITAL ITS TODAY LOW IS 841/- OUR CLIENTS EXIT AT LOWER LEVELS NEARLY 12/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 12000.00/- IN JUST FEW HOURS OF TRADING)
6)(07-AUGUST-2009,01:18PM):-SHORT ABAN(1078.40) ONLY BELOW 1067.75/- WITH STOPLOSS 1098.25/- TARGET 1020.55/- IF BREAKS THENEVEN 1000/- POSSIBLE.
(IN ABAN ITS TODAY LOW IS 1058.50/- OUR CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 8/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 8000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 07-AUGUST-2009 TRADING:-
Market plummets on late hour sell off .
Markets opened weak yesterday and remained under pressure throughout except in early noon when it returned to the positive territory for a while. Meantime, the reports that the monsoon rains were far below normal triggered a sharp sell off in late afternoon trade pulling the markets deep in the red. Concerns that a below normal monsoon could take the country's GDP growth below 7% too weighed on market sentiment. Further, as per government data released yesterday wholesale price index remained negative for the eighth week in a row, falling 1.58% for the 12 months to July 25 compared to a 1.54% decline in the previous week, even as a food sub-index jumped 9.7% from a year earlier. And finally, the Sensex after rising to the day's high at 15,970 in early noon plunged to 15,443 before winding up the session at 15,514, down 390 points from its previous close. Likewise, the Nifty lost 109 points or 2.31% to 4,585 after making a high of 4718 and a low of 4559 in intra-day trades. Further, except pharma stocks which fared a bit better, stocks from power, capital goods and IT sectors closed in deep red. On the BSE, losers outnumbered gainers by 1607 to 1084, with 74 stocks remaining unchanged. Sector-wise, auto, realty, FMCG and metal stocks were the hardest hit which bore the brunt of selling pressure, ending down by around 3 to 4 percent. Clients are advised to trade with caution with strict stops.
NIFTY FUTURE (Last close 4578.25)
The counter after gap down opening yesterday moved upward in early noon trades making a high of 4730 but it remained short lived and the market witnessed a sharp and sudden sell off in late hour trades on reports of below normal monsoon. A widespread selling in Index heavy weight stocks pulled down the NF to a low of 4552, very near to its weekly support level but the counter managed to close way above it. The counter may see a pull back today once it trades and remains above 4603.75 whereby it may move up to 4635/4667. Strong short term support for NF exists at 4542.25 which if breached decisively NF may slip further to 4523/4489.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4465.10/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTTTTT AT LOWER LEVELS NEARLY 75/- POINTS PROFIT SO ON ONE LOT PROFIT IS 3750/- RUPEES THERFORE ON 10 LOT TOTAL PROFIT IS Rs 37500.00/- IN JUST FEW HOURS OF TRADING)
LUPIN FUTURE (Last close 924.15)
The company is engaged in manufacturing active pharmaceutical ingredients and formulations. The company fared exceedingly well in Q1 whereby its net profit rose 65.48% to Rs 179.58 crore in the quarter ended June 2009 as against Rs 108.52 crore during the previous quarter ended June 2008. Meantime, the stock after moving sideways for the past one week closed yesterday marginally higher albeit with low volumes despite massive sell off in the market. The stock appears positive on charts and may move up to 932/941 once it remains and trades with volumes above 926.75. Strong support for the stock exists at 916.25.
(IN LUPIN FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 964.50/- AS IT OPENS ABOVE OUR FIRST TARGET OUR CLIENTS PURCHASE NEAR 935/- FOR OUR NEXT TARGET THEN LATER IT GOES TO 964.50/- OUR CLIENTS BOOK PROFT AT HIGHER LEVELS NEARLY 9000/- RUPEES PROFIT PER LOT THERFORE ON 10 LOT TOTAL PROFIT IS Rs 90000.00/- IN JUST FEW HOURS OF TRADING)
CAIRN INDIA FUTURE (Last close 242.15)
The company is into exploration and production of crude oil and natural gas in India. The company reported net profit of Rs 18.59 crore in Q1 June 2009 as compared to net loss of Rs 46.68 crore in Q1 June 2008. Meantime, the company will start crude oil production from its Mangla oil fields in Barmer, Rajasthan from the second week .The company has meanwhile, also reached pricing agreements with principal buyers IOC and MRPL. Meantime, the stock of the company after making a high of 252 yesterday slipped to a low of 239 under general sell off in the market but closed flat with marginal gain. The stock remains positive on charts and may move further up to 248/253 once it trades and remains above 243.75. Strong support for the stock exists at 239.25.
(IN CAIRN FUTURE ITS TODAY HIGH IS 245/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 1250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 12500.00/- IN JUST FEW MINUTES OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT ON 07-AUGUST-2009 TRADING.OUR BEST WISHES FOR TRADE.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 06-AUGUST-2009
1)(06-AUGUST-2009,10;02AM):-SHORT STER(668) ONLY BELOW 660/- WITH STOPLOSS 675.05/- TARGET 639.80/- IF BREAKS THENEVEN 626.50/- ALSO POSSIBLE.
(IN STER OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 641.45/- OUR PAID CLIENTS BOOK HUGEEEE PROFITTTTTTT AT LOWER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
2)(06-AUGUST-2009,10:05AM):-BUY KOTAKBANK(748) AT CMP WITH STOPLOSS 734.95/- TARGET 783.55/- IF CROSSES THENEVEN 817.60/- ALSO POSSIBLE.
(IN KOTAKBANK ITS TODAY HIGH IS 770.85/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTT AT HIGHER LEVELS NEARLY 20/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
3)(06-AUGUST-2009,10:15AM):-BUY GLENMARK(279.15) ONLY ABOVE 280/- WITH STOPLOSS 274.95/- TARGET 288.25/- IF CROSSES THENEVEN 302.75/- ALSO POSSIBLE.
(IN GLENMARK ITS TODAY HIGH IS 281/- AS THIS STOCK MOSTLY REMAIN BELOW OUR BUY PRICE OUR CLIENTS DO NOT TARDE IN THIS STOCK TODAY)
4)(06-AUGUST-2009,10:20AM):-BUY BHEL(2351.20) AT CMP WITH STOPLOSS 2315.90/- TARGET 2397.95/- IF CROSSES THENEVEN 2435.95/- ALSO POSSIBLE.
(IN BHEL ITS TODAY HIGH IS 2368/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 10/- RUPEES PROFIT IN FEW MINUTES OF TRADING THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 10000.00/- IN JUST FEW MINUTES OF TRADING)
5)(06-AUGUST-2009,10:26AM):-BUY RELCAPITAL FUTURE(907.90) ONLY ABOVE 915/- WITH STOPLOSS 899.95/- TARGET 934.85/- IF CROSSES THENEVEN 947.80/- ALSO POSSIBLE.
(IN RELCAPITAL FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 942.90/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTT AT HIGHER LEVELS NEARLY 6900/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 69000.00/- IN JUST FEW HOURS OF TRADING)
6)(06-AUGUST-2009,10:42AM):-BUY DLF(394.10) ONLY ABOVE 395/- WITH STOPLOSS 387.45/- TARGET 408.70/- IF CROSSES THENEVEN 416/- ALSO POSSIBLE.
(IN DLF ITS TODAY HIGH IS 399.50/- OUR CLIENTS EXIT AT HIGHER LEVELS NEARLY 3/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW MINUTES OF TRADING)
7)(06-AUGUST-2009,11:23AM):-BUY JINDALSTEL(2898.90) ONLY ABOVE 2923/- WITH STOPLOSS 2886/- TARGET 3026.80/- IF CROSSES THENEVEN 3080.20/- ALSO POSSIBLE.
(IN JINDALSTEL ITS TODAY HIGH IS ONLY 2923/- THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
8)(06-AUGUST-2009,11:31AM):-SHORT ABAN(1172.30) ONLY BELOW 1163/- WITH STOPLOSS 1191.55/- TARGET 1128.25/- IF BREAKS THENEVEN 1098.50/- ALSO POSSIBLE.
(IN ABAN OUR FIRST TARGET OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 1115/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTT AT LOWER LEVELS NEARLY 45/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 45000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE ALSO GIVE BUY CALL ON JSWSTEEL NEAR 11:00AM WHEN IT WAS TRADING AT 715/- TO BUY THIS STOCK ABOVE 720/- LATER THIS STOCK GOES TO 742/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 18/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 18000.00/- IN JUST FEW HOURS OF TRADING.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCKS FUTURE FOR 06-AUGUST-2009 TRADING:-
Markets close higher with cautious optimism.
The market opened flat yesterday but turned bearish within minutes of early trades amid sell off at higher levels. The market thereafter remained range bound with intermittent rallies till the afternoon. The market witnessed huge upsurge in the final hour of trade when hectic buying in frontline stocks lifted the indices in to positive territory. The Sensex, which had surged to 15,973 in early trade but dipped to a low at 15,695 in late noon, closed the session yesterday at 15903 gaining an impressive 72 points. The Nifty closed with marginal gain of 13 points at 4694 after making a high of 4717 and a low of 4629 in intra day trades. Markets yesterday saw hectic buying in selected stocks viz. Reliance, Infosys, ONGC, Wipro to name a few which improved the market sentiment significantly. The market breadth remained positive throughout the session with 2767 stocks traded on BSE yesterday, 1611 stocks moved up and 1062 stocks declined. 94 stocks ended flat. The clients are meantime, advised to watch the trend and remain cautious while committing fresh trade in view of high volatility in the markets.
NIFTY FUTURE (Last close 4705.25)
The counter after flat opening yesterday soon moved up sharply but slipped in the red under selling pressure at higher levels. The NF made a low of 4622 yesterday but with short covering bounced back sharply. However, in late afternoon trades fresh buying in frontline stocks lifted the NF to a high of 4722 and finally the counter closed the session with marginal gain of 26 points. The counter appears positive on charts and may gain further momentum once it trades and remains above 4736.75 whereby it may move up to 4757/4788. Strong short term support for NF exists at 4671.25 which if breached decisively NF may slip to 4649/4617.
(IN NIFTY FUTURE OUR ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4552/- OUR PAID CLIENTS BOOK HUGEEEEEEEE PROFITTTTTTTTT AT LOWER LEVELS NEARLY 110/- POINTS PROFIT SO ON ONE LOT PROFIT IS 5500/- RUPEES THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 55000.00/- IN JUST FEW HOURS OF TRADING)
CIPLA FUTURE (Last close 274.35)
The company manufactures pharmaceutical products which include anti-asthmatics, anti-cancer, anti-inflammatory, anti-depressant and other therapeutic index including animal health care products. The company recently received final approval from the USFDA to manufacture and market for Efavirenz Capsules in strength of 200 mg. which are used for the treatment of a human immunodeficiency virus. The company hopes to enhance earnings substantially during this fiscal. Further, the company posted net profit of Rs 2417.10 million for the quarter ended June 30, 2009 as compared to Rs 1400.40 million for the quarter ended June 30, 2008 despite slowdown in the economy. Meantime, the stock after remaining range bound during the past few trading sessions closed yesterday marginally higher with good volumes. The stock appears positive on charts and may move up to 281/285 once it trades and remains above 275.75. Strong support for the stock exists at 271.25.
(IN CIPLA FUTURE OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 280.80/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 5000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 50000.00/- IN JUST FEW HOURS OF TRADING)
PTC INDIA FUTURE (Last close 92.50)
The company provides power-trading services through purchase from surplus utilities and sales to deficit ones. It catalyses the development of power projects and is also the identified nodal agency for cross border trading and exchange of power with the neighboring countries. It has cross border operations in Nepal, Bhutan and Bangladesh. Meantime, the company posted robust Q1 results last month whereby net profit rose 76.87% to Rs 33.34 crore in the quarter ended June 2009 as against Rs 18.85 crore during the previous quarter ended June 2008. Sales rose 97.13% to Rs 2371.69 crore in the quarter ended June 2009 as against Rs 1203.10 crore during the previous quarter ended June 2008.The company hopes to fare exceedingly well during the current financial year. Meantime, the stock after remaining sideways during the previous week closed yesterday above its short term trend line with high volumes. The stock appears positive on weekly charts and may move up to 95/98 once it trades and remains above 92.75. Strong support for the stock exists at 91.25.
(IN PTC FUTURE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 96.95/- OUR PAID CLIENTS BOOK HUGE PROFIT AT HIGHER LEVELS NEARLY 7000/- RUPEES PROFIT PER LOT THERFORE ON 10 LOT TOTAL PROFIT IS Rs 70000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS TO TAKE CORRECT DECISION ON TIME TO EARN HUGE FROM THE 06-AUGUST-2009 TRADING.OUR BEST WISHES FOR TRADE.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 05-AUGUST-2009
1)(05-AUGUST-2009,09:59AM):-BUY MRPL(90) ONLY ABOVE 90.50/- WITH STOPLOSS 87.20/- TARGET 95.50/- IF CROSSES THENEVEN 97.50/- ALSO POSSIBLE.
(IN MRPL ITS TODAY HIGH IS 93.20/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 2/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
2)(05-AUGUST-2009,10:02AM):-BUY JPHYDRO(86.90) ONLY ABOVE 87.50/- WITH STOPLOSS 85.45/- TARGET 91.50/- IF CROSSES THENEVEN 94.65/- ALSO POSSIBLE.
(IN JPHYDRO ITS TODAY HIGH IS 88/- OUR CLIENTS EXIT WITH MARGINAL VALUE IN THIS STOCK TODAY)
3)(05-AUGUST-2009,10:05AM):-BUY ABAN(1188) AT CMP WITH STOPLOSS 1157.95/- TARGET 1215.50/- IF CROSSES THENEVEN 1225/- ALSO POSSIBLE.
(IN ABAN OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1219/- OUR CLIENTS EXIT AT HIGHER LEVELS IN THIS STOCK TODAY.)
4)(05-AUGUST-2009,10:08AM):-BUY INFOSYSTCH(2100.10) ONLY ABOVE 2105.50/- WITH STOPLOSS 2059.45/- TAREGT 2146.90/- IF CROSSES THENEVEN 2165/- ALSO POSSIBLE.
(IN INFOSYSTCH ITS TODAY HIGH IS 2107/- AS THIS STOCK MOSTLY BELOW OUR BUY LEVEL OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
5)(05-AUGUST-2009,10:12AM):-BUY RELINFRA(1220) ONLY ABOVE 1225/- WITH STOPLOSS 1199.95/- TARGET 1261.15/- IF CROSSES THENEVEN 12989.30/- ALSO POSSIBLE.
(IN RELINFRA ITS TODAY HIGH IS 1225/- ONLY THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
6)(05-AUGUST-2009,10:44AM):-SHORT JSWSTEEL(709.75) ONLY BELOW 704/- WITH STOPLOSS 717.55/- TARGET 688/- IF BREAKS THENEVEN 660.90/- ALSO POSSIBLE.
(IN JSWSTEEL ITS TODAY LOW IS 702/- AS THIS STOCK MOSTLY REMAIN ABOVE OUR SHORT LEVEL THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
7)(05-AUGUST-2009,10:54AM):-SHORT DLF(389.60) ONLY BELOW 389/- WITH STOPLOSS 400.55/- TARGET 375.35/- IF BREAKS THENEVEN 365/- ALSO POSSIBLE.
(IN DLF ITS TODAY LOW IS 385.60/- OUR CLIENTS EXIT AT LOWER LEVELS WITH MARGINAL VALUE IN THIS STOCK TODAY.THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 3000.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE BTST CALL ON SESAGOA WITH TARGET 255/- WHEN IT WAS TRADING NEAR 245/- OUR PAID CLIENTS BOOK HUGE PROFIT ITSELF TODAY ONLY AS TARGET ACHIEVED IN JUST FEW HOURS SOME OF THEM ALSO HOLD FOR 06-AUGUST-2009 AS MORE STRENGHT IS LEFT IN THIS STOCK.THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 16000.00/- IN JUST FEW HOURS OF TRADING}
SHARESPROFITSURE RESEARCHED WORK FOR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCK FUTURES FOR 05-AUGUST-2009 TRADING:-
Markets take a breather.
The market opened flat to negative yesterday and failed to sustain at higher levels and slipped in the red within minutes under selling pressure. However, in early noon, some hectic buying in frontline stocks including auto and metal pulled up the market in to the positive territory but it too remained short lived and slipped sharply on sustained selling by market participants on weak Asian cues. The Sensex, after making a high of 16000 in early noon plunged into the red under heavy sell off at higher levels and touched the day’s low of 15699. The Sensex finally closed at 15830 losing 93 points. The Nifty closed the session yesterday at 4680 losing 30 points after making a high of 4731 and a low of 4642. The market sentiment appeared to be of caution and with the earning season coming to an end market participants looked towards global cues for some trigger. The market breadth, however, remained slightly positive as out of 2794 stocks traded on BSE, 1480 stocks finished higher. 1242 stocks declined and 72 stocks ended flat. Clients are advised to trade with caution in view of high volatility being noticed in the market.
NIFTY FUTURE (Last close 4679.25)
The counter after opening flat yesterday remained range bound through out the session except in early noon when it made a high of 4715 on hectic buying in front line stocks. The NF thereafter in choppy trade, plunged to a low of 4635, very near to the level indicated in these columns yesterday and bounced back in late hour trades. The counter finally lost 34 points. Meantime, the counter to gain further strength needs to trade and remain above 4705.75 whereby NF may move up to 4728/4747. Strong short term support for NF exists at 4641.25 which if breached decisively NF may slip further to 4618/4594.
(IN NIFTY FUTURE ITS TODAY LOW IS 4622.20/- WHICH IS NEAR TO OUR FIRST TARGET OF SHORT AND ALSO ITS TODAY HIGH IS 4721.80/- WHICH IS ALSO NEAR TO OUR BUY FIRST TRAGET OUR CLIENTS BOOK PROFIT IN BOTH SIDES NEARLY 20+15=35/- POINTS PROFIT SO NEARLY 1750/- RUPEES PROFIT PER LOT TODAY THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 17500.00/- IN FEW HOURS OF TRADING)
EKC FUTURE (Last close 185.60)
The company is engaged in manufacturing high-pressure gas cylinders with the higher water capacity. The company proposes to raise Rs 150 crore by issuing fully convertible debentures or through QIP to augment its working capital. Meantime, the company managed to retain its profit at Rs 10.26 crore in the quarter ended June 2009 as against Rs 12.54 crore during the previous quarter ended June 2008. The prospects of the company appear bright. Meantime, the stock after remaining range bound during the past four trading sessions closed yesterday above its short term trend line gaining more than one percent with positive bias and high volumes. The stock appears positive on charts and may move further up to 191/196 once it trades and remains above 186.75. Strong support for the stock exists at 182.50.
(IN EKC FUTURE ITS TODAY HIGH IS 188.70/- OUR CLIENTS EXIT AT HIGHER LEVELS WITH SOME PROFIT IN HANDS NEARLY 2500/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 25000.00/- IN JUST FEW HOURS OF TRADING)
BRFL FUTURE (Last close 179.95)
The company is engaged in manufacturing textiles consisting of fabrics and garments. The products of the company are woven fabric of cotton mixed mainly and solely with man made fibre, men's and boy's shirting, women's or girl's blouses, shirts and shirt blouses. The company intends to utilize funds raised through the proposed preferential issue to augment working capital requirements, finance / acquisition for new projects & businesses and other corporate purposes. Meantime, the company managed despite difficult market conditions its Q1 profits which rose 6.76% to Rs 37.29 crore in the quarter ended June 2009 as against Rs 34.93 crore during the previous quarter ended June 2008. Further, the stock after remaining range bound during the past four trading sessions closed yesterday above its short term trend line gaining over 2% with very high volumes. The stock appears positive on charts and may move up to 184/187 once it trades and remains above 180.50. Strong support for the stock exists at 177.25.
(IN BRFL FUTURE OUR ALL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 196/- OUR PAID EXECUTIVE PLAN CLIENTS BOOK HUGEEEEEEE PROFITTTTTTTT AT HIGHER LEVELS NEARLY 15000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 150000.00/- IN JUST FEW HOURS OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN MAXIMUM FROM THE 05-AUGUST-2009 TRADING.OUR BEST WISHES FOR TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 04-AUGUST-2009
1)(04-AUGUST-2009,10:04AM):-SHORT BHARTIARTL(404.50) ONLY BELOW 403.75/- WITH STOPLOSS 410.05/- TARGET 393.80/- IF BREAKS THENEVEN 380.05/- ALSO POSSIBLE.
(IN BHARTIARTL ITS TODAY LOW IS 398/- OUR PAID CLIENTS BOOK PROFIT AT LOWER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
2)(04-AUGUST-2009,10:15AM):-BUY SUZLON(96.80) ONLY ABOVE 97.50/- WITH STOPLOSS 93.95/- TARGET 103/- IF CROSSES THENEVEN 109/- ALSO POSSIBLE.
(IN SUZLON ITS TODAY HIGH IS 98.70/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 1/- RUPEES PROFIT PER SHARE THEREFORE ON 2000 SHARES TOTAL PROFIT IS Rs 2000.00/- IN JUST FEW HOURS OF TRADING)
3)(04-AUGUST-2009,10:25AM):-BUY STER(684) ONLY ABOVE 685/- WITH STOPLOSS 667.45/- TARGET 715.65/- IF CROSSES THENEVEN 725/- ALSO POSSIBLE.
(IN STER ITS TODAY HIGH IS 686/- AS THIS STOCK MOSTLY REMAIN BELOW OUR BUY PRICE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY AS WE ALREADY INSTRUCT OUR CLIENTS THAT NEVER BUY FALLING STOCK ALWAYS BUY RISING STOCK AS TODAY IN THE MORNING MARKET IS IN RANGEBOUND LATER IT BECOME MILDLY BEARISH SO OUR CLIENTS AVOID PURCHASING)
4)(04-AUGUST-2009,10:32AM):-BUY TATAMOTORS(441.70) ONLY ABOVE 445/- WITH STOPLOSS 437.45/- TARGET 455.45/- IF CROSSES THENEVEN 465/- ALSO POSSIBLE.
(IN TATAMOTORS OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 469.40/- OUR PAID CLIENTS BOOK HUGEEEEEEE PROFITTTTTTT AT HIGHER LEVELS NEARLY 22/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 22000.00/- IN JUST FEW HOURS OF TRADING)
5)(04-AUGUST-2009,10:36AM):-BUY RELCAPITAL(922) ONLY ABOVE 925/- WITH STOPLOSS 909.95/- TARGET 945.10/- IF CROSSES THENEVEN 975.85/- ALSO POSSIBLE.
(IN RELCAPITAL ITS TODAY HIGH IS 930.90/- OUR CLIENTS BOOK PROFIT ABOVE 930/- NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
6)(04-AUGUST-2009,11:51AM):-BUY ICICIBANK(779.20) ONLY ABOVE 783.25/- WITH STOPLOSS 771.95/- TARGET 792.50/- IF CROSSES THENEVEN 809.95/- ALSO POSSIBLE.
(IN ICICIBANK ITS TODAY HIGH IS 785.50/- OUR CLIENTS EXIT WITH MARGINAL VALUE AS IN FIRST HALF BANKNIFTY SHOWING STRENGHT AND RELCAPITAL, SBIN, & SOME BIG BANK STOCKS SHOWING HUGE BUILDUP WE GIVE THIS CALL BUT LATER DUE TO WEAK EUROPEAN MARKETS THIS STOCK ALSO BECOME WEAK BUT IN THE COMING FEW DAYS THIS STOCK EASILY CROSS 825/- IN SHORT TERM)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE SHORT CALLS IN THE AFTERNOON WHEN MARKET BECOME MILDLY BEARISH IN (RELINFRA BELOW 1200/- LATER IT FALLS TO 1168/- OUR CLIENTS MAKE GOOD PROFIT IN THIS STOCK NEARLY 29/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 29000.00/- IN JUST FEW HOURS OF TRADING. ALSO WE GIVE SHORT CALL ON DLF BELOW 400/- LATER IT FALLS TO 393.15/- IN THIS STOCK OUR CLIENTS MAKE NEARLY 6/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 6000.00/- IN JUST FEW HOURS OF TRADING) OUR YAHOO MESSENGER CLIENTS EARN HUGE PROFIT IN THESE SHARES TODAY.}
SHARESPROFITSURE RESEARCHED WORK FOR OUR EXECUTIVE PLAN CLIENTS ON NIFTY & STOCK FUTURE FOR 04-AUGUST-2009 TRADING:-
Markets rally higher on strong global cues.
Markets after opening marginally higher yesterday on positive global cues moved range bound till early noon when hectic buying in frontline stocks turned the sentiment bullish and markets thereafter remained highly positive. Auto stocks found favour with the investors after buoyant monthly sales figures. The Sensex which hit a high of 15,963 intra day yesterday ended the day at 15,924- its best close since early June 2008 netting a gain of 253 points. The Nifty closed at 4711 gaining 75 points making it 14-month high. Market participants attribute the current rally to faster than anticipated economic recovery, strong global cues and better than expected Q1 results of major corporates. The market breadth remained strong yesterday with 2785 stocks traded on BSE, 1761 stocks moved up. 953 stocks declined and 71 stocks ended flat.
NIFTY FUTURE (Last close 4714.10)
The counter after opening firm rallied higher and closed the session yesterday gaining 78 points amid high volatility and intra day swing of more than 115 points . The counter closed yesterday very near to its weekly resistance and once it remains and trades above 4732.75, NF will further move up to 4762/4797. Strong support for NF exists at 4677.25 which if breached decisively NF may slip to 4649/4631.
(IN NIFTY FUTURE OUR ALMOST ALL TARGETS OF SHORT ACHIEVED SUCCESSFULLY ITS TODAY LOW IS 4635.20/- OUR EXECUTIVE PLAN CLIENTS BOOK HUGE PROFIT NEAR OUR LAST TARGET NEARLY 2000/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 20000.00/- IN JUST FEW HOURS OF TRADING)
GE SHIPPING FUTURE (Last close 261.15)
The stock of shipping giant after moving range bound during the previous week closed yesterday gaining over one percent despite lower Q1 profits announced by the company last week. The stock clocked good volumes and crossed over its short term trend line with positive bias. The stock appears positive on weekly charts and may move up to 265/269 once it trades and remains above 262.25. Strong support for the stock exists at 258.25.
(IN GESHIP FUTURE OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 277.60/- OUR EXECUTIVE PLAN CLIENTS BOOK HUGEEE PROFITTTTTT AT HIGHER LEVELS NEARLY 15600/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 156000.00/- IN JUST FEW HOURS OF TRADING)
IDFC FUTURE (Last close 139.85)
The company provides infrastructure-financing services including financing products and fee based services to infrastructure projects and asset management. The group also provides advisory services on energy, telecommunications and transportation sectors to the Government and corporate clients. The company posted a moderate profit during Q1. Meantime, the stock after moving sideways during the past week closed yesterday gaining over 3% with positive bias. The stock may move further to 144/147 once it trades and remains above 140.50. Strong support for the stock exists at 137.75.
(IN IDFC FUTURE ITS TODAY HIGH IS 142.90/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 4500/- RUPEES PROFIT PER LOT IN FEW MINUTES OF TRADING)
HOPE OUR SHARESPROFITSURE RESEARCHED WORK MAY HELP OUR EXECUTIVE PLAN CLIENTS IN TAKING CORRECT DECISION ON TIME TO EARN HUGE PROFIT FROM THE 04-AUGUST-2009 TRADING.
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
SHARESPROFITSURE INTRADAY TIPS OF 03-AUGUST-2009
1)(03-AUGUST-2009,09:59AM):-BUY HINDALCO(102.40) ONLY ABOVE 105/- WITH STOPLOSS 101.20/- TARGET 111.85/- IF CROSSES THENEVEN 115/- ALSO POSSIBLE.
(IN HINDALCO ITS TODAY HIGH IS 109.40/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 3.50/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 3500.00/- IN JUST FEW HOURS OF TRADING)
2)(03-AUGUST-2009,10:04AM):-BUY STER(658.05) AT CMP WITH STOPLOSS 647.45/- TARGET 674.70/- IF CROSSES THENEVEN 690/- ASLO POSSIBLE.
(IN STER OUR ALMOST FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 673.90/- OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 15/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 15000.00/- IN JUST FEW HOURS OF TRADING)
3)(03-AUGUST-2009,10:10AM):-BUY ABAN(1076.65) ONLY ABOVE 1081/- WITH STOPLOSS 1048.45/- TARGET 1109.25/- IF CROSSES THENEVEN 1125/- ALSO POSSIBLE.
(IN ABAN OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 1158.80/- OUR PAID CLIENTS BOOK HUGEEEEEEEEE PROFITTTTTTTTT AT HIGHER LEVELS NEARLY 75/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 75000.00/- IN JUST FEW HOURS OF TRADING)
4)(03-AUGUST-2009,10:14AM):-BUY RELIANCE(1981) ONLY ABOVE 1983.25/- WITH STOPLOSS 1957.95/- TARGET 2010.85/- IF CROSSES THENEVEN 2046.75/- ALSO POSSIBLE.
(IN RELIANCE OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 2031/- OUR PAID CLIENTS BOOK HUGEEEEEEEE PROFITTTTTTTTT AT HIGHER LEVELS NEARLY 45/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 45000.00/- IN JUST FEW HOURS OF TRADING)
5)(03-AUGUST-2009,10:43AM):-SHORT DLF(386.55) ONLY BELOW 385/- WITH STOPLOSS 395.05/- TARGET 375.60/- IF BREAKS THENEVEN 361.05/- ALSO POSSIBLE.
(IN DLF AS IT MOSTLY REMAIN ABOVE 385/- THEREFORE OUR CLIENTS DO NOT TRADE IN THIS STOCK TODAY)
6)(03-AUGUST-2009,10:54AM):-BUY IBREALEST(254.70) ONLY ABOVE 255.50/- WITH STOPLOSS 247.25/- TARGET 261.20/- IF CROSSES THENEVEN 267.45/- ALSO POSSIBLE.
(IN IBREALEST OUR FIRST TARGET ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 265/- WHICH IS ALSO VERY NEAR TO OUR LAST TARGET OUR PAID CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 8/- RUPEES PROFIT PER SHARE THEREFORE ON 1000 SHARES TOTAL PROFIT IS Rs 8000.00/- IN JUST FEW HOURS OF TRADING)
7)(03-AUGUST-2009,11:14AM):-BUY UNITECH(91.95) ONLY ABOVE 92.50/- WITH STOPLOSS 90.95/- TARGET 97.25/- IF CROSSES THENEVEN 100.20/- ALSO POSSIBLE.
(IN UNITECH ITS TODAY HIGH IS 94.95/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 2/- RUPEES PROFIT PER SHARE THEREFORE ON 2500 SHARES TOTAL PROFIT IS Rs 5000.00/- IN JUST FEW HOURS OF TRADING)
8)(03-AUGUST-2009,11:25AM):-BUY RCOM(283.90) ONLY ABOVE 286/- WITH STOPLOSS 279.95/- TAREGT 295.65/- IF CROSSES THENEVEN 302.30/- ALSO POSSIBLE.
(IN RCOM ITS TODAY HIGH IS 292.10/- OUR CLIENTS BOOK PROFIT AT HIGHER LEVELS NEARLY 5/- RUPEES PROFIT PER SHARE THEREFORE ON 1500 SHARES TOTAL PROFIT IS Rs 7500.00/- IN JUST FEW HOURS OF TRADING)
9)(03-AUGUST-2009,11:36AM):-BUY RELIANCE(27AUG2009) 2010CA(84.50) ONLY ABOVE 88/- WITH STOPLOSS 74.95/- TARGET 99.40/- IF CROSSES THENEVEN 105/- ALSO POSSIBLE.
(IN RELIANCE OPTION CALL OUR ALL TARGETS ACHIEVED SUCCESSFULLY ITS TODAY HIGH IS 106/- OUR PAID CLIENTS BOOK HUGEEEEEEEE PROFITTTTTTTT ABOVE OUR LAST TARGET NEARLY 2250/- RUPEES PROFIT PER LOT THEREFORE ON 10 LOT TOTAL PROFIT IS Rs 22500.00/- IN JUST FEW HOURS OF TRADING)
{WE ALSO GIVE TIME TO TIME DURING MARKET HOURS TO OUR YAHOO MESSENGER CLIENTS NIFTY TECHNICAL LEVELS, .STOCKS TECHNICAL LEVELS AND DIRECTION OF THE MARKET SO THAT OUR CLIENTS EARN GOOD PROFIT DURING MARKET TRADING TIME.TODAY WE GIVE BUY CALL AT LOWER LEVELS IN (PATNI UP 8% INTRADAY) OUR YAHOO MESSENGER CLIENTS EARN SMART PROFIT IN THIS SHARE ALSO.}
SUNDAY SPECIAL 02-AUGUST-2009 WEEKLY SPECIAL E-MAIL:-
(short term (1-5weeks), medium term (1-2months) & long term (3months to 6months).
BUY IDFC(134.85) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY INDIAINFO(136.65) FOR SHORT TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY INDIANB(143.80) FOR SHORT TERM TAREGT (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY PUNJLLOYD(246.70) FOR MEDIUM TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
BUY IDBI(105.65) FOR LONG TERM TARGET (ONLY FOR OUR PAID CLIENTS) POSSIBLE WITH STOPLOSS (ONLY FOR OUR PAID CLIENTS).
sharesprofitsure team.
(OUR ALL SUNDAY SPECIAL SHARES START MOVING UP TOWARDS THEIR TARGETS AS THEY ARE HIGHLY RESEARCHED SO OUR PAID CLIENTS TRADE IN THEM TO EARN GOOD RETURN AS THEY ARE WELL STUDIED GIVEN.OUR PROFESSIONAL & EXECUTIVE PLAN CLIENTS MAKING HUGE MONEY THROUGH OUR THIS ADDITIONAL SERVICE ALSO )
HUGE PROFIT TO OUR PAID CLIENTS. JOIN OUR PAID SERVICES WRITE NOW TO GET GOOD PROFIT SURE. IF YOU ARE NEW TO SHAREMARKET JOIN OUR PERSONAL PLAN BUT IF YOU ARE EXPERIENCED PLAYER OF THE MARKET THEN JOIN OUR PROFESSIONAL PLAN. IF YOU NEED OUR MULTIBAGGER CASH, FUTURE & OPTION CALLS PLUS OUR PORTFOLIO MANAGEMENT SERVICE WITH OUR SUNDAY SPECIAL E-MAILS THEN GO FOR OUR EXECUTIVE PLAN AS ITS OUR BEST PLAN WITH COMPLETE SERVICES.
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