IntradayTrade dot Net
Performance Results

Tuesday, 18-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:

 

ALBK

 

RELINFRA

 

SAIL

 

ALSO SEE:

CAIRN

IDEA

PFC


 

ALERTS for Tuesday, 18-Sept-2012

SMS Pre-Market

Suggests: ALBK RELINFRA SAIL;
Also See: CAIRN IDEA PFC;
Valid for date: 18-Sept-2012; All for LONG;
See site for full Details -Intradaytrade.net

 

Pre-Market: 9:00am

Flat opening and mixed trading predicted for our markets today;
The NIFTY had again opened big gap-up yesterday but had then
given up most of the gains to profit booking to end slightly
positive; RBI's slashing of CRR by 25 bps had little effect
in our markets yesterday; Overnight, US stocks consolidated
after a sharp rally in the previous week; The rally came a
day after the US Central Bank unveiled new stimulus measures
to support growth in the world's largest economy; Asian shares
are taking a breather today after witnessing sharp gains in the
previous week; At home, there are no triggers lined up for today;
Today's trading pattern might be a repeat of yesterday as some
more profit booking downsides are expected before we go back up;
INR-US$ is at 54.0000; WTI Crude is at $97.00;

NIFTY Resistance levels today are: 5640, 5670, 5700, 5740, 5780;
NIFTY Support levels are at: 5600, 5570, 5550, 5520, 5500;

Market sentiments are mixed today morning with no particular
bias; The NIFTY is expected to open soft today tracking mixed
global cues as markets take a breather after witnessing strong
gains last week; We expect a trading pattern similar to what we
saw yesterday with some ups and downs; Overall, the going will
be positive and all the gains of last week will be held intact
today; For Intraday, be watchful and careful today; Be patient
and wait for your chances to come; Play quick and play smart;
Do not follow our Alerts blindly; Consider all angles before
you actually commit your money; Do not take big risks;
Take small profits and exit; Repeat, if possible.

 


 

SMS-1

18Sept(10:00) Gap-down openng; Going Flat;
Hold ALBK>136 RELINFRA>516 IDEA>87.50 PFC>188
if in; Watch SAIL>87 CAIRN>360; All for LONG;
Details at site -INTDAY

 

ALERT-1: 10:00am

Gap-down opening for the NIFTY; Going flat now around the line;
ALBK RELINFRA IDEA PFC have done well since opening; ALBK should
have been in at 135 and out at 136; Hold ALBK>136 if in with
a StopLoss of 133; RELINFRA should have been in at 514 and
out at 516; Hold RELINFRA>516 if in with a StopLoss of 512;
IDEA should have been in at 86.50 and out at 87.50; Hold
IDEA>87.50 if in with a StopLoss of 85.50; PFC should have
been in at 186 and out at 188; Hold PFC>188 if in with a
StopLoss of 185; Till next Alert, See these if the market goes up:

Name See
Above
Stop
Loss
Target
1
Target
2
Number
to buy
IDEA 87.50 86.50 89 91 680
PFC 188 186 192 194 310

Also watch SAIL>87 and CAIRN>360 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 5610 now; Opened around 5590; Came up a little;
Trading with negative flat now; Choppy around the line;
NIFTY likely to maintain level and not go up or down very much
in the next two hours; First Support is at 5590-5600; Next
Support will be at 5570; First Resistance is at 5630-5640;
Next Resistance is at 5670; Asian markets are trading mostly
in the red at this time; Stay focussed; Wait & Watch;
Be very careful in such uncertain markets, specially when
holding in Intraday; Act quickly when you see slightest
indication of fall; Do not take big risk;
Take small profit and exit; Repeat.

 


 

SMS-2

18Sept(11:00) Mkt flat; Many Suggests gave profit;
Hold none; Watch ALL; All Suggests can give more
profits from present level if mkt turns up;
See Site -INTDAY

 

ALERT-2: 11:00am

Market fluctuating around the line; No particular bias;
Many Suggest gave profits in LONG since our last Alert;
ALBK should have been out at 140; RELINFRA should have
been out at 518; IDEA should have been out at 87.75; PFC
should have been out at 189.50; All Suggests can give more
profits if upsurge comes with volume; Be cautious; Market
uncertain and flat; Do not risk profits already made; Be sure
and certain if taking new position again; Stay Away if not
confident; Get out at first hint of downfall; All for LONG.

NIFTY still around the line at 5610; Has been in the 5600-5620
range since opening today; No trend seen developing as of now;
First Support is still at 5590-5600; Next Support is at 5570;
First Resistance is at 5630-5640; Next Resistance is at 5670;
Asian markets are trading in the red now with Negative bias;
Our market doing well by not falling and not giving up gains;
But be prepared for a sudden and sharp fall; Overall, we
should hold steady; Stay Away if not sure; Keep strict
StopLoss if entering now; Avoid taking big risks;
Take small small profits; Repeat.

 


 

SMS-3

18Sept(12:30) Mkt Flat on the line; Many gave profit;
Hold RELINFRA>518 SAIL>88 PFC>191 if in;
See now ALBK>140 CAIRN>354; Await Europe openng;
See Site -INTDAY

 

ALERT-3: 12:30pm

Market still fluctuating around the line; No particular bias;
Many Suggest gave profits in LONG since our last Alert;
Hold RELINFRA>518 if in; StopLoss at 514; SAIL should
have been in at 87.50 and out at 88; Hold SAIL>88 with
StopLoss at 86.50; PFC should have been out at 191.75;
Hold PFC>191 if in; StopLoss at 188; See now ALBK>140
CAIRN>354 if upsurge comes with strength; All can give
profits in LONG if upsurge comes with volume; Release
with marginal profits at first hint of downside;
Maintain strict StopLoss if entering;
All for LONG.

NIFTY still around the line at 5605; Has been in the 5600-5620
range since opening today; No trend seen developing as yet;
First Support is still at 5590-5600; Next Support is at 5570;
First Resistance is at 5630-5640; Next Resistance is at 5670;
Asian markets are trading mostly in the red now; Negative bias;
Europe is scheduled to open red on renewed Eurozone problems;
Our market still doing well by not falling; Not giving up gains;
Overall, we should hold position and our market should rise
back to 5640; Be very careful in the next one hour or so;
Again, be prepared for a sudden and sharp fall; A quick
downside to 5570 level can happen if we get any negative
domestic news; Stay Away if not sure; Maintain strict
StopLoss if holding or entering any trade; Do not risk
profits already made; If you get opportunity,
take small profits and exit; Repeat.

 


 

SMS-4

18Sept(2:30) Mkt in red; Flat; Many Suggest gave profit;
Hold ALBK>143 SAIL>88.75 PFC>193 if in;
All good for LONG if upsurge comes; See Site -INTDAY

 

ALERT-4: 2:30pm

NIFTY in the red; Uncertain bias; Choppy just below the line;
Many Suggest gave small profits in LONG since our last Alert;
ALBK should have been out at 143.50; If still in, Hold
ALBK>143 with StopLoss of 140; RELINFRA should have been
out at 518; If still in, Hold SAIL>88.75 with StopLoss
of 87.50; PFC should have been out at 193; If still in,
Hold PFC>193 with StopLoss of 191; All can give profits
from current levels if upsurge continues 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; All for LONG.

NIFTY around 5600 now; Has been in the 5590-5610 range
since our last Alert; Fluctuating and choppy, but holding; Not
going down; In the red right now just below the line; First
Support of 5590-5600 is still holding; Next Support is at 5570;
First Resistance is now at 5615-5620; Next Resistance is at
5630-5640; Asian markets are mostly red on closing; Europe
is trading in red with most markets over 1% down; Our market
should hold position and remain in this range till closing
today; Not a big high ending expected by us; Be watchful
for a profit taking bout at the end; And be absolutely sure
if taking position in last hour; Take small profits and exit;
Do not risk profits already made; Today we will close flat.

 


 

 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
121 124 130 132 135 138 141

Suggest-1:

ALBK

Approx. 1st Entry Point: Rs. (Time) 135 (0935)
Approx. 1st Exit Point: Rs. (Time) 143.50 (1344)
Avg. No. of Shares Traded: 440
Approx. Profit per Share: Rs. 8.50
Approx. Profit Today: Rs. 3740

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
459 469 493 502 515 527 536

Suggest-2:

RELINFRA

Approx. 1st Entry Point: Rs. (Time) 514 (0933)
Approx. 1st Exit Point: Rs. (Time) 518 (1222)
Avg. No. of Shares Traded: 115
Approx. Profit per Share: Rs. 4
Approx. Profit Today: Rs. 460

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
83 84 86 87 88 89 90

Suggest-3:

SAIL

Approx. 1st Entry Point: Rs. (Time) 87.50 (1226)
Approx. 1st Exit Point: Rs. (Time) 89 (1501)
Avg. No. of Shares Traded: 680
Approx. Profit per Share: Rs. 1.50
Approx. Profit Today: Rs. 1020

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
351 354 360 364 367 370 373

Also See-1:

CAIRN

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
83 84 85 86 87 88 89

Also See-2:

IDEA

Approx. 1st Entry Point: Rs. (Time) 86.50 (0932)
Approx. 1st Exit Point: Rs. (Time) 87.75 (1032)
Avg. No. of Shares Traded: 690
Approx. Profit per Share: Rs. 1.25
Approx. Profit Today: Rs. 860

TOP


 

PP1 PP2 PP3 PP4 PP5 PP6 PP7
160 164 175 179 184 190 194

Also See-3:

PFC

Approx. 1st Entry Point: Rs. (Time) 186 (0942)
Approx. 1st Exit Point: Rs. (Time) 197 (1449)
Avg. No. of Shares Traded: 320
Approx. Profit per Share: Rs. 11
Approx. Profit Today: Rs. 3520

 


 

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