IntradayTrade dot Net
Performance Results

Thursday, 13-Sept-2012


 

These 6 names were given to our members before market opened today. At about 10am, 2 of these 6 were chosen, based on their initial performance, and StopLoss and Targets were given for these 2. Throughout the day we followed the performance of these 6 stock and gave updates/alerts. Given below are the performance of these 6 stocks today, vis-a-vis the Alerts:

 

SUGGESTS:

 

APOLLOTYRE

 

ITC

 

TATAMOTORS

 

ALSO SEE:

IDEA

JPASSOCIAT

PETRONET


 

ALERTS for Thursday, 13-Sept-2012

SMS Pre-Market

Suggests: APOLLOTYRE ITC TATAMOTORS;
Also See: IDEA JPASSOCIAT PETRONET;
Valid for date: 13-Sept-2012; All for LONG;
See site for Details -Intradaytrade.net

 

Pre-Market: 9:00am

Flat opening and cautious, range-bound trading predicted for our
markets today; The NIFTY yesterday closed up for the 6th day
running on positive global & domestic cues, totally ignoring
IIP figures; Overnight, US stocks ended slightly higher after
a top German court gave its nod for the new euro zone rescue
fund to go ahead; Asian shares are flat today morning ahead
of the US FED's decision about injecting more stimulus into
the world's largest economy; A Reuters poll showed economists
strongly expects a third round of FED bond buying known as
quantitative easing (QE) to 65% from 60% in August; At home,
our markets are likely to maintain range bound activity in
trades today waiting for inflation figures tomorrow; The
possibilities of a RBI rate cut is in focus specially if the
inflation comes in bad tomorrow; A lot more economic reforms
are also expected; RBI policy meeting is to be held on Sept17;
INR-US$ is at 55.2225; WTI Crude is at $96.98;

NIFTY Resistance levels today are: 5450, 5470, 5500, 5520, 5540;
NIFTY Support levels are at: 5400, 5360, 5340, 5310, 5280;

Market sentiments are mixed today morning with uncertain bias;
The NIFTY is expected to open flat tracking mixed global
inputs and range-bound trading is expected; Most markets are
mixed and flat today morning; We expect a flat opening and
range-bound trading around the line; There will be a slight
positive bias throughout the day, we feel; If European markets
show positive opening and trade, we might have a smart
upsurge at the end; Overall, we'll hold on to the gains made
during the last few sessions; For Intraday Trading: Flat,
uncertain markets do not give good scope for Intraday
Trading in LONG; Be cautious and careful; Be patient and
wait to see how market shapes up before you plunge in;
Play quick & play smart; Do not follow our Alerts blindly;
Consider all angles before you actually commit your money;
Do not take big risks; Take small, small profits and exit;
Repeat, if possible.

 


 

SMS-1

13Sept(10:00) Flat openng;
Going Flat; Hold PETRONET>171;
See PETRONET>171 APOLLOTYRE>102;
Watch ITC>269 TATAMOTORS>262;
All for LONG; Details at site -INTDAY

 

ALERT-1: 10:00am

Flat opening for the NIFTY; Going flat now around the line;
PETRONET done OK since opening; PETRONET should have been
in at 169 and out at 171; Hold PETRONET>171 if still in with
StopLoss of 169; If not taken position, Till the next Alert,
See these if the market goes up:

Name See
Above
Stop
Loss
Target
1
Target
2
Number
to buy
PETRONET 171 169 174 176 340
APOLLOTYRE 102 100 105 107 580

Also watch ITC>269 and TATAMOTORS>262 if market goes up;
Take position in above scrips only if you are absolutely confident;
Stay Away if not sure; All for LONG;

NIFTY around 5430 now; Opened at same level, at about 5435;
Trading flat now around the line; No particular bias seen;
First Support is at 5410-5400; Next Support will be at 5360;
First Resistance is at 5450; Next Resistance is at 5470;
It is expected that the NIFTY will continue to trade flat and
choppy within a range for some more time with uncertain bias;
Small upside might come, but it will not be very strong;
Overall we'll hold present position and not fall; Good Upside
expected later in the day that will take NIFTY beyond 5450;
Asian markets are trading flat now, but mostly in green;
Stay focussed; Wait & Watch; Act quickly when opportunity
comes; Do not take any big risk; Stay Away if in doubt;
Maintain strict StopLoss if entering;
Take small profit and exit; Repeat.

 


 

SMS-2

13Sept(11:00) Mkt +ve;
IDEA PETRONET gave profit;
Hold IDEA>82.50 if in;
Watch APOLLOTYRE>102 ITC>269
TATAMOTORS>262 now; See Site -INTDAY

 

ALERT-2: 11:00am

Market in the green; Slight positive bias is seen developing;
IDEA PETRONET gave small profits in LONG since our last
Alert; IDEA should have been in at 82 and out at 82.50;
Hold IDEA>82.50 if you are in it; StopLoss at 81; PETRONET
should have been out at 172; Watch APOLLOTYRE>102
ITC>269 TATAMOTORS>262 now if upsurge strengthens;
All can give profits from present level; Be cautious;
Be sure & certain when taking position or holding;
Get out at first hint of downfall; All for LONG.

NIFTY around 5445 at this time; Has come up from 5430 since
our last Alert with slight positive bias; Upsurge is weak and
might not hold for long; However, slow progress to NIFTY-5450
should happen; First Resistance is there at 5450; Next Res
is at 5470; First Support is now at 5425; Next Support will
be at 5400; Asian markets are still mixed, flat and uncertain;
Stay Away if not sure; Keep strict StopLoss if entering/holding;
Avoid taking big risks; Take small small profits; Repeat.

 


 

SMS-3

13Sept(12:30) Mkt in red;
Going Flat & Choppy; IDEA gave profit;
See now APOLLOTYRE>100 IDEA>83 PETRONET>169;
Await Europe openng; See Site -INTDAY

 

ALERT-3: 12:30pm

NIFTY in the green; Holding gains; Going choppy and flat now;
IDEA gave small profit since our last Alert; IDEA should have
been out at 83.50; There is nothing to hold at this time; See
now APOLLOTYRE>100 IDEA>83 PETRONET>169 if upsurge
comes with volume; Release with marginal profits at first hint
of downside; Maintain strict StopLoss if entering; All for LONG.

NIFTY around 5440 now; Slight positive bias that was seen
developing has levelled out now; NIFTY is trading quiet in
the very tight 5435-5445 range since about 10am; No bias;
First Resistance of 5450 has not been crossed; It is still
in force; Next Resistance is at 5470; First Support is still
at 5425; Next Support will be at 5400; Asian markets are
still flat and uncertain but mostly in the green; Europe
opening is now important and can give direction to our market;
They are expected to open flat; Be very careful in the next
one hour or so; A Quick downside to 5410-5390 level can
happen if Europe disappoints big time or we get any negative
domestic news; Maintain strict StopLoss if holding or
entering any trade; If you get opportunity, take small
profits and exit; Repeat, if possible.

 


 

SMS-4

13Sept(2:30) Mkt around the line; Choppy;
TATAMOTORS gave small profit; None look good
now; All can profit in LONG if upsurge comes;
Careful... See Site -INTDAY

 

ALERT-4: 2:30pm

NIFTY Fluctuating around the line at 5430; No bias; Our
market has given up the gains of the morning and went down
to about 5420; TATAMOTORS gave small profits in LONG since
our last Alert; TATAMOTORS should have been in at 260
and out at 261.50; None look good for LONG now; All can
give profits from current levels if upsurge comes with
good volume; Be careful before taking fresh position in
last hour; Release with minimal profits at first
indication of fall; Take small profit and exit.

NIFTY around 5430 now; Has come up from a low of 5420 that
was reached after our last Alert; Fluctuating around the
line now; RBI rate cut hopes and Cabinet meeting on Friday
to discuss aviation FDI did not lift up markets; Europe's bad
performance pulling market down; Support of 5420-5425
has held strong again; Still active; But may not hold for
long if there are no good news; Next Support will be at
5400; First Resistance of 5450 has also held strong;
NIFTY around 5440 on closing is the target for today;
Be watchful & absolutely sure if taking position in last
hour; Take small profits and exit; Do not risk profits
already made; Today we will try to close in the green.

 


 

 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
91 93 97 99 101 103 104

Suggest-1:

APOLLOTYRE

Approx. 1st Entry Point: Rs. (Time) — Stay Away —
Approx. 1st Exit Point: Rs. (Time)
Avg. No. of Shares Traded:
Approx. Profit per Share: Rs.
Approx. Profit Today: Rs. NIL

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
265 266 268 269 270 271 272

Suggest-2:

ITC

Approx. 1st Entry Point: Rs. (Time) — Stay Away —
Approx. 1st Exit Point: Rs. (Time)
Avg. No. of Shares Traded:
Approx. Profit per Share: Rs.
Approx. Profit Today: Rs. NIL

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
244 247 257 261 266 270 274

Suggest-3:

TATAMOTORS

Approx. 1st Entry Point: Rs. (Time) 260 (1329)
Approx. 1st Exit Point: Rs. (Time) 261.50 (1335)
Avg. No. of Shares Traded: 230
Approx. Profit per Share: Rs. 1.50
Approx. Profit Today: Rs. 340

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
66 67 68 69 70 71 72

Also See-1:

IDEA

Approx. 1st Entry Point: Rs. (Time) 82 (0956)
Approx. 1st Exit Point: Rs. (Time) 83.50 (1133)
Avg. No. of Shares Traded: 730
Approx. Profit per Share: Rs. 1.50
Approx. Profit Today: Rs. 1090

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
66 67 68 69 70 71 72

Also See-2:

JPASSOCIAT

Approx. 1st Entry Point: Rs. (Time) — Stay Away —
Approx. 1st Exit Point: Rs. (Time)
Avg. No. of Shares Traded:
Approx. Profit per Share: Rs.
Approx. Profit Today: Rs. NIL

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
159 160 164 166 168 170 171

Also See-3:

PETRONET

Approx. 1st Entry Point: Rs. (Time) 169 (0932)
Approx. 1st Exit Point: Rs. (Time) 172 (1004)
Avg. No. of Shares Traded: 350
Approx. Profit per Share: Rs. 3
Approx. Profit Today: Rs. 1050

 


 

About the profit figures shown in these pages:
  • Time of BUY/SELL is shown in HHMM format. For example, 1025 means 10:25am; similarly 1439 means 14:39 hours or 2:39pm. These are approximate figures.
  • If a Suggest is mentioned in our Alerts, together with StopLoss and Targets, profit will be shown only if the 'See Above' figure is crossed positively and reasonable profits are generated. It is not necessary that Target figures are reached.
  • Once a See Above ( > ) figure is mentioned, we do not show a profit in these pages unless this figure is crossed positively. "Stay Away" is reported even if there is profit to be gained from this Suggest.
  • "Stay Away" is also reported for any Suggest that is not mentioned in our Alert which also does not give any opportunity as per our PricePoints.
  • "MARGINAL" means that this Suggest neither gave any substantial profit, nor did it put a member into a loss situation — if you bought above the indicated level as per our Alert, there was ample chance to get out around that level later on after you realise that prices are not going up. It can also mean that you should not have entered into this scrip in the first place, because of external circumstances.
  • Profit shown for any Suggest that is not mentioned in any Alert is as per our PricePoints. Reasonable profits will have to be generated — it is not necessary that any exact PricePoints are reached.

 

Please Note:
  1. Charts/Data courtesy NSEI/Yahoo!/iCharts/Rediff MoneyWiz.
  2. 'Approx. 1st. Entry Point' is the price at which 'first' entry is made.
  3. There can be more than one entry. Price for subsequent entries not shown.
  4. 'No. of Shares Traded' is calculated on 15k investment and 4x exposure (15000x4=60000) normally allowed by online brokering houses for intraday trading.
  5. 'Approx. Profit per Share' is cumulative of all entries.
  6. Figures within curly brackets {} stand for SHORT sell profits.
  7. All figures are indicative only.
  8. Profit figures given at our website are "estimates" only and do not take into account brokerage charges and other operational costs. This is because these charges can vary widely across the country and it will be misleading to give any one figure that is applicable in any one region in India.  TOP