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DATE STOCK CLOSE EQUITY/INTRADAY & FUTURE TRADING (AS PER CASH/SPOT LEVEL BELOW) OPTION TRADING (AS PER CASH/SPOT LEVEL IN LEFT COLUMN) % GAIN/LOSS (4 Times of spot)
24.05.19 NIFTY 11657.05 Intraday: sell only safe @ 11715 + 11777 SL 11879 T 11683 + 11655 or close on close level applicable whole day//

position trade:
Exit last days sell (sold @ 682) @ 11637 SL 11828, as sell is at low level and can test minor qntty sell @ 11755 + 11827 SL 11879  for today , T possibility 11615 + more in 2/3 days Or follow with daily report.
wapp 3.25pm: Intraday T achieved in morning / posison view as given in news leter /
Intraday:

a) Buy put option , may series , 11700/11750 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:

avoid buying option , selling is more safe in last week of expiry & must have knowledge of it otherwise avoid.
+about 65 points gain in sell success in morning // position open as per news letter , followed with wapp
23.05.19 NIFTY 11737.90 Read very carefully :
Intraday:  Buy @ 11737.90 + 11697 SL 11650 (low but safe ) T 11805 + 11825 (here 11807 sud cross then only higher given level will maintain) , max 11869.

position trade:
We asked exit long 100 % at 11825 in advance , but uptrend is still in-force , on accurate time will ask  position sell also, till that follow with daily report.
wapp 9.35am:
Modify intraday buy @ 11860 + 11793SL 11695 T 11912 + 11960 max 11998 / buy sbi according / use low volume as T r already achived / strict intraday no overnight
wapp10.29am: T r given or max possibility is 12055 but never buy at high may dangerous just view //
wapp 1.14pm warning:  View + support : last we exited posison at 825 in advance on minor term T also reached 11999 + max 12055 (aprox) , still rally not reversed but avoid at hhigh
wapp 3.10pm: Downside T 11685 below it 11575 advance level for profit taking / fresh in night report / avoid more sell at low / fresh in night reprt // Mmy level r advance say 11575 were profit taking can in advance
 
Intraday:

a) Buy Call option , may series , 11800/11750 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:

follow with instruction in left cash column.
+open above T , trade cancel per rule.
+35 points gain in buy wapp 9.35 warn & cancel
+ sold @ 11682 @ 3.10pm ask for  T 11575 +


.............
Monthy T was 11910 achieved given on 01.05.19 to members

.................
+352 points gain in last long @ 11410 exited 11700 + 11825 , cost was 11763-11410=
352 points (follow below in daily report)
22.05.19 NIFTY 11709.10 Intraday:  use low volume , buy @ 11697 + 11653 SL 11602 T 11776 + 11795 Or if modification will massage.

position trade:
We asked exit long 100 % at 11825 in advance , but uptrend is still in-force , on accurate time will ask  position sell also.
avoiding today for safety. +79 points gain intraday


.................
+352 points gain in last long @ 11410 exited 11700 + 11825 , cost was 11763-11410=
352 points (follow below in daily report)
      No more today , as usual from tomorrow.    
21.05.19 NIFTY 11828.25 Intraday:  use low volume , buy @ 11789 + 11739 SL 11677 T 11828 + 11847 max 11865.

position trade:
avoid buy at high , T 11850/856 mostly achieve , some variation may their , in monthly report T was 11850 , over .
wapp 9.57am: For intraday today all opened at T further T may or may not / apply my rule low volum or avoid / its said in advance
 
Intraday:

a) Buy Call option , may series , 11800 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:

follow with instruction in left cash column.
+Open at T trade cancel or use 30% of usual volume, per rule no 5 on How to trade.
...............


 
  AXISBK
bse
782.75 Intraday:  use low volume Buy @ 778.10 + 771.90 SL 765 T 786.60 + 789.70
position trade:
avoid at high , stock bullish , follow daily report

(3)
Intraday:

a) Buy Call option , may series , 780 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:
+all stocks Open at T trade cancel or use 30% of usual volume, per rule no 5 on How to trade.
  HPCL 293.50 Intraday:  Buy @ 292 + 286.95 SL 280.95 T 292 + 300.35 , apply rule.

position trade:
T 302 is over , follow below, fresh in daily report
(2)
Intraday:

a) Buy Call option , may series , 290 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:
'' ''
  INFY 722.40 Intraday: use low volume ,  Buy @ 719.70 SL 712.10 T 725.15 + 729.25

position trade:
avoid , still downside in progress
(4)
  -SL
  RIL 1325.90 Intraday: risky so avoiding today.

position trade:
stock in rally , follow daily report
(0)
  0%
  SBI 344.70 Intraday: Buy @ 337.30 SL 331.95 T 342.95 + 344.90 are safe , variation may their.

position trade:
hold long
(4)
Intraday:

a) Buy Call option , may series , 340 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:
0%
20.05.19 NIFTY 11407.15 Intraday:  Buy at low safe at 11331 + 11282 SL 11247 T 11392 + 11428 are safe , otherwise avoid.

position trade:
can buy @ 11322 + 11268 SL 11203 T compulsory 11426 + more , follow in daily report. Note: daily & weekly are different.

Note: Today , all time gone to Nifty , as usual from tomorrow.
wapp 9.20am: My view for posison traders: nifty T is 11576 + max 11850 in 4 minimum or 9 maximum days / but dont buy at high folow with daily & weekly levels // Nifty view + level given / stoks: axisbk + sbi + ril + hpcl + bpcl + all will move up according / intraday accurate level in night report / becose its sensitive
wapp 3.25pm: Higher degree T r given 11850/856 minor more may their / fresh level in night report
Intraday:

a) Buy Call option , may series , 11350 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:

a)buy call option 11300/11350 strik ,  may series , @  , SL  , T  are as given in left cash / spot column.
+0% intraday open above T // T 11850 projected in monthly charts on 01.5.19 to Members
+ Last days Hpcl @ 274 long given good profit
................

also folo weekly report below T was 11570 +
in monthly we already said for T 11850 +
.............
follow wapp in nifty column ,
bullish in nifty + axisbk + Hpcl + sbi + ril
  AXISBK 748.95 Intraday:  Buy @ 740.30 SL 729.80 T 743.75 + 747.

position trade:
buy in correction , follow daily report.

(2)
Intraday:

a) Buy Call option , may series , 740 strik , @  , SL , T  , as per cash/spot level in left column.
position trade:
 
+ open above T
  HPCL 274.70 Intraday:  Buy @ 273.50 + 267.75 SL 263.15 T 276.30 + 278.40.

position trade:
Follow SL 261 in long , T and Time as given in last day's report below.
(3)
Intraday:

a) Buy call option , may series , 270 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow as in cash column.
+Long opened @ 274 T was 294 + 302 follow below.
20.05.19
to
24.05.19
NIFTY
weekly
view
11407.15 Level are for week only , next week fresh level / F & O accordingly:
Buy @ 11352 + 11305 SL 11140 T 11482 + 11570.
 position trade:

a)buy call option 11300/11350 strik ,  may series , @  , SL  , T  are as given in left cash / spot column.
 
 
17.05.19 NIFTY 11257.10 Intraday:  buy @ 11234 + 11210 SL 11158 T 11294 + 11331 // also sell @ 11331 + 11355 SL 11398 T 11305 + 11283

position trade:
last day's sell try to exit @ 11234 / 210 or follow with SL 11398 , as adjacent wave is in minor confusion.
wapp 3.28pm: Nifty + mrkt bottomed out will maintain rally avoid short / keep long /
Intraday:

avoid
..................
position trade:

follow with instruction in cash column.
+ Buy T achieved  no trade

-SL in sell

follow wapp
  HPCL 281.10 Intraday: buy @ 277.45 + 273.50 SL 268.90 T 278.85 + 282.80 // also strict intraday sell @ 285.80 + 288.60 SL 291.75 T 284.65 + 283.35.

position trade:
Buy @ 276.25 + 270.80 in 1/2 days SL 265 T 294.75 + 302.50 time 4 to 7days , follow with daily report.
(1)
Intraday:

a) Buy call option , may series , 280 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy call option , 280 / 290 strik ,  may series , @  , SL  , T  or hold with SL 'as per level in left column.
+0% in intraday or

turn to position long

+0% in sell no trade
  ITC
bse
294.70 Intraday: sell @ 295.50 + 296.95 SL 299 T 292.35

position trade:
not open
(2)

last day error in news letter, sell was 299.20 , wrongly printed 297.25 wapp was correct 299.25
Intraday:

a) Buy put option , may series , 295 strik , @  , SL , T  , as per cash/spot level in left column.
..................
-SL
  TCS 2108.75 Intraday: buy @ 2101.90 SL 2087.80 T 2119.65 + 2130.80

position trade:
not open
(3)
  +3% in intraday

(diff n level .1% applicable)
16.05.19 NIFTY 11157 Intraday: sell @ 11197 + 11234 SL 11299 T 11155 + 11118.

position trade:
keep short SL 11300 for today , avoid sell at low , 11210 + 11268 max 11332 are resistance in 2/3 days for fresh position sell , don't sell at low.


Overview:
still trend is downside , sometime on minor degree we have to ask buy, on intraday basis.
Intraday:

a) Buy put option , may series , 11200 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy put  option , 11200 strik ,  may series , @  , SL  , T  or hold with SL 'as per level in left column.
Ask to keep open for position sell , already said in night report
................

intraday 1st T maintained before noon
 
  AXIS
BANK
bse
721.25 Intraday: sell @ 725 + 729.40 SL 736 T 721.30.

position trade:
can sell more @ 729.45 + 732.50 in 1/2 days, SL 743 T 724 + 718 , follow daily report
(3a)
Intraday:

a) Buy put option , may series , 720 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy put  option , 720 strik ,  may series , @  , SL  , T  or hold with SL 'as per level in left column.
 
Intraday open at T no trade or low volume trade per rule

ask to convert to position
  ITC 297.05 Intraday: sell @ 299.20 + 301.15 SL 303.75 T 297.95 + 296.75

position trade:
position trader also follow SL 303.75 in short .
(3b)
Intraday:

a) Buy put option , may series , 300 strik , @  , SL , T  , as per cash/spot level in left column.
..................
+4% gain in intraday

+15% in intraday put option
  RIL 1256.90 Intraday: sell @ 1267.50 SL 1275.85 T 1252.75

position trade:
trend is downside  , but  on minor degree , some confusion , so avoiding.
(4)
  +2% minor profit
  TATA
MOT
bse
169.60 Intraday: sell @ 174.55 + 178.90 SL 183.25 T 169.80 , avoid overnight sell.

position trade:
day before yesterday asked keep short , T 167.50 is achieved , still trend is down , but avoid fresh sell .
(2)
 
Intraday:

a) Buy put option , may series , 175 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with instruction in cash column.
+2% gain in intraday

+10% in intraday call option

minor profit only
  TECH
MAHIN
790.30 Intraday: sell @ 799.50 SL 806.15 T 790.35

position trade:
trend is downside
(5)
 
  +0% T achieved no trade
15.05.19 NIFTY 11222.05 Intraday: buy @ 11202 + 11180 SL 11134 T 11269 + 11332.

position trade:
last days long  also follow SL 11134 T are as above.
(2)

Note:
No more today , as usual from tomorrow.
Intraday:

a) Buy call option , may series , 11200 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with instruction in cash column.
+29 points gain  in last days long T achieved 11269

+Intraday open at T  , so no trade per rule, also minor profit in buy in low volume , then came down.
  SBI 314.65 Intraday: buy @ 310.95 SL 306.80 T 318.50.


(2)
Intraday:

a) Buy call option , may series , 315 strik , @  , SL , T  , as per cash/spot level in left column.
..................
+0% no trade
14.05.19 NIFTY 11148.20 Intraday: sell @ 11177 + 11209 SL 11291 (high but safe) T 11142 + 11081.

position trade:
not open , trend is downside , follow SL 11350 in short on daily basis. . On daily basis we are selling since 11654 .
(2)


Note: nse data delay so some level r bse.
wapp 1.50pm: day traders exit in sells cost-cost or sl as given / posison view also changing dont take posison view in news leter  / Try to exit @ 11198 / 188 or sl as given / stocks cost - cost or as given //
wapp 2.09pm: exit sell @ kip long @ current 11235/240 T are 11269 + 11332 in 2 + days
wapp 2.43pm: Hold todays buy T given 11269 + 11332 in 2 days or will modify level in night report / ril  + sbi + hpcl + itc all will move up according / fres in night
Intraday:

a) Buy put option , may series , 11250//11200 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with instruction in cash column.
-50 points loss in sell exited 11235/40 , and// turn to buy @ 11240 for T 11269 + 11332 , follow wapp + ask to buy Sbi + Ril + Hpcl + Itc as per nifty
..................
..

stocks All exited minor profit , except Ril + Itc in sell
 
  RIL
bse
1230.85 Intraday: sell @ 1239 + 1252.45 SL 1265.25 T 1221.15

position trade:
can hold short with SL 1278 , compulsory T 1212.25
(2)
 
Intraday:

a) Buy put option , may series , 1240  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:
 
-SL

then ask to buy online , wapp in nifty column
  SBI 306.90 Intraday: sell @ 308.85 + 310.80 SL 314.25 T 306.20 + 303.80

position trade:

(4)
Intraday:

a) Buy put option , may series , 310  strik , @  , SL , T  , as per cash/spot level in left column.
.................
+ exited with minor profit in sell , then ask to buy online , follow wapp in nifty column
  ITC 289.30 Intraday: sell @ 291.40 + 292.90 SL 295.65 T 287.25

position trade:
sell in bounce , follow daily report
(5b)
  -SL
  TATA
MOTOR
bse
180.25 Intraday: sell @ 181.90 + 183.55 SL 187.70 T 178.60

position trade:
can hold short with SL 191 , trend is downside.
(3)
Intraday:

a) Buy put option , may series , 180  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:
+ exited with minor profit in sell , follow wapp in nifty column
  TATA
STEEL
472.30 Intraday: sell @ 478.25 + 484.15 SL 492.40 T 470.45 + 463.85 , level is high for safety.

position trade:
sell in bounce avoid at low , stock is bearish.
(5a)
  +0% no trade
13.05.19 NIFTY 11278.90 Intraday: sell @ 11331 + 11378 SL 11429 T 11295  // also buy @ 11256 + 11212 SL 11178 T 11258 + 11298.

position trade:
follow with day before yesterday's report , on base of monthly level only given on 01.05.19 to members , asked low volume . On daily basis we are selling since 11654 .
(3)
wapp3pm: cancel all buy as T achieved , as per rule
Intraday:

a) Buy put option , may series , 11350//11300 strik , @  , SL , T  , as per cash/spot level in left column. & 11250  call option as per cash/spot level in left column.
..................
position trade:

follow with instruction in last days report.
+42 points gain in intraday buy before noon , then, cancel buy after as per rule T achieved
...............

On daily basis we are selling since 11654 .
 

  RIL 1251.15 Intraday: buy @ 1240.10 SL 1229.90 T 1254.20 + 1266.65 . If open above 1260-65 cancel buy after 12 pm.

position trade:
short exited , still trend is downside.
(3)
 
Intraday:

a) Buy call option , may series , 1260  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

 
+4% gain in intraday

+20% in intraday call option

after T buy cancel per rule

...........selling since 1393.25 , follow below.
  SBI 308.05 Intraday: buy @ 304.45 + 301.30 SL 297 T 308.15.

position trade:
not open , still downside correction not over , so intraday buy is their.
(4b)
Intraday:

a) Buy call option , may series , 305  strik , @  , SL , T  , as per cash/spot level in left column.
..................
+0% T achieved no trade
  TECH
MAHIN
808.40 Intraday: sell @ 811.10 SL 816.65 T 804.70 + 801.60 .

position trade:
Last short exited @ 801 , still in downside correction
(4a)
Intraday:

a) Buy put option , may series , 810  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:
 
-SL
  TCS 2135.80 Intraday: sell @ 2147.65 + 2158.90 SL 2182.15 T 2112.85

position trade:
Not open , in minor correction.
(2)
wapp 9.45am: cancel /exit sell at current 2157 ,
Intraday:

a) Buy put option , may series , 2140  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:
 
+0% trade cancel , but buy given profit , follow wapp
10.05.19 NIFTY 11301.80 Intraday: sell @ 11335 + 11380 SL 11432 T 11295 + 11256.// also strict intraday buy @ 11256 + 11212 SL 11178 T 11258 + 11298.


position trade:
Follow with last days report's level, given below.

Note: today sell level in stock are high for safety reason , may trade or may not.
Intraday:

a) Buy put option , may series , 11300 strik , @  , SL , T  , as per cash/spot level in left column. & 11250 // 11200 call option as per cash/spot level in left column.
..................
position trade:

follow with instruction in last days report.
+45 points gain in morning in sell , again + 45 points points gain in sell afternoon , + 45 points again in sell after 2 pm = Net gain 135 points Intraday
+40% in intraday put opetion
  AXISBK 731 looking weak for intraday    
  RIL
bse
1255.15 Intraday: sell @ 1276.30 + 1290.55 SL 1306.15 T 1255.20 + 1242 or close on close must.

position trade:
short exited , still trend is downside.
(2)
Intraday:

a) Buy put option , may series , 1260  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+6% gain in intraday

+25% in intraday put option



...........selling since 1393.25 , follow below.
  SBI
bse
299.25 Intraday: sell @ 302.15 + 304.10 SL 306.65 T 300.30 + 298.75.

position trade:
Keep short with SL 307 .
(3)
Intraday:

a) Buy put option , may series , 305 / 300  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+6% gain in intraday

+25% in intraday put option
  TECH
MAHIN
809.65 Intraday: sell @ 815.45 + 818.90 SL 826.30 T 811.40 + 809.10.

position trade:
follow daily report , last short T 801 achieved , follow below.
(4b)
Intraday:

a) Buy put option , may series , 810  strik , @  , SL , T  , as per cash/spot level in left column.
+4% gain in intraday

+20% in intraday put option
 
diff in level maintained
 
  SUN
PHARMA
439.35 Intraday: sell @ 443.85 + 446.75 SL 450.05 T 441 + 438.65

position trade:

(4a)
  +4% gain in intraday

+20% in intraday put option
 
diff in level maintained
09.05.19 NIFTY 11359.45 Intraday: sell @ 11382 + 11450 SL 11493 T 11358 + 11320 (apply rule today very carefully). // also buy @ 11320 + 11256 or best is 11288 SL 11192 T 11335 + 11381, if close at or above 11380 , more rise next day, can hold it.

position trade:
Buy @ 11288 SL 11190 T may 11431 + more , or follow with daily report. // as per month report asked low volume can follow 11190 SL, Pool back may T 11550 + or may add minor more @ 11288.

Note: never trade without SL.
wapp 2.05pm: Nifty intraday buy take strict intraday 1st T achieved in morning now can avoid orexit same level or folo with SL . // Note: all stocks + nifty maintained T so low volume or no trade applicable further / rule of my trades
wapp 3.24pm: Downside correction still due but avoid sell at low follow fresh level in night report
Intraday:

a) Buy put option , may series , 11400 strik , @  , SL , T  , as per cash/spot level in left column. & 11350 // 11300 call option as per cash/spot level in left column.
..................
position trade:

a)buy call  option , 11400 strik ,  may series , @  , SL  , T  or hold with SL 'as per level in left column.
+45 points gain in buy in morning //+63 points again gain in buy (11288 + 11256=cost 11272 T 11335 exited)= Net gain 45+63=108 points




...............

profit mentioned in stocks are as per our levels.
  RIL 1299.45 Intraday: sell @ 1310.95 + 1321.75 SL 1340.10 T 1304.15 + 1290.75 .

position trade:
short exited , follow daily report for fresh call
(3b)
Intraday:

a) Buy put option , may series , 1300  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+0% sell not traded
...........selling since 1393.25 , follow below.
  SBI 298.25 Intraday: sell @ 300.65 + 303.10 SL 307.60 T 297.90 + 296.90

position trade: not open , downside.

(3a)
Intraday:

a) Buy put option , may series , 300  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+4% gain in intraday

+20% in intraday put option
 
  SUN
PHARMA
bse
438.85 Intraday: sell @ 441.20 + 444.95 SL 448.30 T 436.20 + 433.85

position trade:
(4)
  +3% gain in intraday

+15% in intraday put option
 
  TECH
MAHIN
bse
802.35 Intraday: sell @ 805.95 + 809.60 SL 816.35 T 799.80 + 794.40.

position trade: T 801  achieved , follow with daily reports

(2)
Intraday:

a) Buy put option , may series , 800  strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+3% gain in intraday

+15% in intraday put option
 
08.05.19 NIFTY 11497.90 Intraday: sell @ 11530 + 11556 SL 11601 T 11480 . Any ground T achieved before 11/12 pm , cancel sell after 12pm.

position trade:
follow with monthly level , report given on 01.05.19 to members, use low volume as in monthly, level is high.

Note: data delayed , so no more today , as usual from next day.
wapp 11.25am: Support + view: nifty may in more correction , T are 11437 + 11371 or may more follow daily report / last day data delayed for akshay tritiya /dont trade rong
Intraday:

a) Buy put option , may series , 11500 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy call  option , 11600 strik ,  may series , @  , SL  , T  or hold with SL 'as per monthly level.
+0% T achieved no trade intraday

..............

T modified follow wapp
  RIL 1343.50 Intraday: sell @ 1341.75 + 1358.40 SL 1369.75 T 1341.45 .

position trade:
book 70% profit near close level , rest hold with SL  1378.85 & can book 100 % profit @ 1328.

Overview:

(3)
Intraday:

a) Buy put option , may series , 1340 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a) @  , SL  , T  or hold with SL as per cash/spot level in left column.
+0% T achieved no trade intraday

..............
positional sell @ 1393 exited 1328 , handsome profit in F+O

 
  TECH
MAHIN
814.65 Intraday: sell @ 815.70 + 819.45 SL 826 T 811.60 + 807.25.

position trade:
Follow SL 826 , T in last day's as given , time in 2 days now

(2)
Intraday:

a) Buy put option , may series , 820 / 810 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

follow with level in left column.
+5% gain in intraday

+20% in intraday put option
diff in level applied


..............
positional sell @ 825 exited 801
 
07.05.19 NIFTY 11598.25 Intraday: sell @ 11622 + 11654 SL 11713 T 11576.

position trade:
Buy more as per monthly level , report given on 01.05.19 to members.
wapp 3.28pm: Downside correction still inforce avoid at low , follow fresh level in daily report at night
 
Intraday:

a) Buy put option , may series , 11600 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy call  option , 11600 strik ,  may series , @  , SL  , T  or hold with SL
+78 points gain in intraday , but fall is159 points

+30% in intraday put option
  RIL
bse
1384.85 Intraday: sell @ 1387.60 + 1393.20 SL 1407.40 T 1382 + 1374.50.

position trade:
also sell as above Sl same , but note if same day maintain 1367 or below it then hold short , or if not then the take it intraday.

Overview:

(1)
Intraday:

a) Buy put option , may series , 1380 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy put  option , 1380 strik ,  may series , @  , SL  , T  or hold with SL
+15% gain in intraday

+50% in intraday put option

+ position sell open @ 1393.20
  TECH
MAH
820.15 Intraday: sell @ 825 + 832.75 SL 841.90 T 817.75 + 815.40 .

position trade:
if short last day , hold , or can sell at above given level , T 807 + 801 time 3 days , or follow with daily report.

(2)
Intraday:

a) Buy put option , may series , 820 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy put  option , 820 strik ,  may series , @  , SL  , T  or hold with SL
+6% gain in intraday

+30% in intraday put option

+ position sell open @ 825 last day
  TATA
MOT
bse
200.10 Intraday: sell @ 203.30 + 205.95 SL 211.40 T 200.75 + 199.20.

position trade:


Overview: downside corrective.

(3)
Intraday:

a) Buy put option , may series , 205 strik , @  , SL , T  , as per cash/spot level in left column.
+8% gain in intraday

+30% in intraday put option
...........
.2% diff in level
  HDFC 1965.45 Intraday: sell @ 1976 + 1987.75 SL 2006.85 T 1956 + 1946.40

position trade:


Overview:
(4)
  +4% gain in intraday
...........
.2% diff in level
06.05.19 NIFTY 11712.25 Intraday: Buy @ 11707 + 11666 SL 11625 T 11727 + 11742 .

position trade:
Buy more as per monthly level , report given on 01.05.19 to members.

Overview:
Day trader's buy nifty today , accurate level for subscriber's only.
wapp9.54am :
Intraday nifty Open below SL no mean of trade , position trader,s follow with monthly level , intraday stocks no change. // day traders cancel buy, only trade sell calls
wapp 10.49am:
strict intraday sell @ 11663+11687sl11718 t 11625+11612 / rest as given / t achieved avoid at low
wapp 3.25pm: Nifty may minor more fall on daily charts / posisonview as per month level / fresh daily level in night report / + stocks possonal view as per news leter
Intraday:

a) Buy Call option , may series , 11700 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy call  option , 11700 strik ,  may series , @  , SL  , T  or hold with SL
0% , Buy not traded opened below SL.
....................

all buy trade cancel , sell modified , follow wapp
  RIL 1408.85 Intraday: avoid

position trade:
keep long SL 1379 , avoid fresh buy at this level.

Overview:
  0% no trade

positional SL was for those long at low level.
  SBI 310 Intraday: buy @ 309.45 + 308 SL 305.95 T 311.50 + 312.30.

position trade:
keep long SL 305.50

Overview:
in complex rally .

(2)
Intraday:

a) Buy Call option , may series , 310 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

 
0% ask to exit same cost wapp 9.54am
...................
or may given minor profit to buyer
  TATA
STEEL
547.80 Intraday: buy @ 544.35 + 535.35 SL 527.40 T 547.75 + 552.70.

position trade:
keep long with SL 524.75 , buy more @ 541.55 + 535.35.

Overview:
in complex rally

(3)
Intraday:

a) Buy Call option , may series , 540 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a)buy call  option , 540 strik ,  may series , @  , SL  , T  or hold with SL
0% ask to exit same cost
wapp 9.54am
 
  TECH
MAHIN
817.40 Intraday: sell @ 820.85 + 825.75 SL 837.80 T 813.80 + 810.85

position trade:
sell @ 825.75 + 833.70 SL 841.75 T 807 + 801.

Overview:
may face correction .

(1)
Intraday:

a) Buy put option , may series , 820 strik , @  , SL , T  , as per cash/spot level in left column.
..................
position trade:

a) Buy put option , may series , 820 strik , @  , SL , T  , as per cash/spot level in left column.
+2% in intraday

+10% in intraday put option
03.05.19 NIFTY 11724.75 Intraday : sell @ 11755 SL 11790 T 11707 + 11688 , use very low volume.

Position trade : Follow with monthly view given to member's on 01.05.19


 
Intraday: avoid

..................
position trade:

a)buy  call option , 11700 strik ,  may series , @  , SL  , T  or hold with SL , as per monthly report.
+48 points gain in intraday
................
I already said in advance level will poor
 
  AXISBK 752.35 Intraday : sell @ 755.15 + 758.80 SL 766.50 T 750.45 + 746.35 .

Position trade : Not open , but in downside corrective.

(2)
Intraday:

a) Buy put option , may series , 750 strik , @  , SL , T  , as per cash/spot level in left column.

..................
position trade:
+2/3 Rs gain intraday

+10/15% in intraday put option
      SAMPLE Intraday:

a) Buy Call/put option , april series , 11400 strik , @  , SL , T  , as per cash/spot level in left column.

b) sell call/put option,
april series, 11400 strik , @ , SL , T as per cash/spot level in left column.
..................
position trade:

a)buy call / put option , 11400 strik ,  april series , @  , SL  , T  or hold with SL

b) sell call/put option, april series, 11400 strik , @ , SL , T as per cash/spot level in left column.
 

How to Trade

Trading Guidelines by Suresh Sharma on his 25 years experience are given below for each product follow carefully it will clear all query and you will have comfort in Trading on his Advance Analysis:

A) INTRADAY/FUTURE/OPTION

1. PREMARKET ( at 12pm in night) LEVEL IN NIFTY & STOCKS ARE NSE SPOT/CASH, CAN TRADE EQUITY, FUTURE, OPTIONS (INTRADAY + POSITION) ACCORDING TO GIVEN LEVELS. NEWS LETTER IS VERY IMPORTANT TO READ IN DETAIL SPECIALLY FOR POSITION TRADERS.

2. NEVER TAKE INTRADAY TO POSITION IF NO INSTRUCTION & POSITION CALLS HOLD TILL INSTRUCTION IN NEWS LETTER . ADVANCE LEVEL GIVEN FOR PROFIT BOOKING , BOOK PROFIT IN POSITION TRADES ACCORDINGLY IN F& O TRADES , IT GIVES BIG PROFIT.

3. a)Most important rule (for intraday):
2 LEVELS IN BUY OR SELL FOR INTRADAY, USE 50+50% ON BOTH LEVELS, BOOK PROFIT 50+50% ON T ACCORDINGLY OR CLOSE ON CLOSING LEVEL (example: Buy nifty 10500 + 10475 SL 10440 T 10550 + 10575, book profit of 10475 @ 10550 & another of 10500 @ 10575 or close on closing or follow SL must, same strategy in stocks also), Position trade long or short when developed followed daily with logical SL Profit booking target level given in advance or exit with SL in profit (example Nifty Bought @ 10667 SL daily say 10600 + progressively in daily newsletter when pattern completes SL hit near 10950 mean profit booked with 283 points, same applicable in stocks also. NOTE: We give exact levels (as per technical rules) use .01% difference  in buy/sell /stop-loss/ target in Nifty or stocks for success in your trade's.
Note : Trade at given levels only.
   
b) weekly & monthly (for position trader's): report given on weekend & month-end for F & O traders , apply same rule's as given in intraday (mean buy/sell, SL , Profit booking T ) , take print of report & trade accordingly.

4.SL MUST USE, NEVER TRADE WITHOUT SL.

5. IF INTRADAY T ACHIEVED  CANCEL TRADE FURTHER.

6 USE OUR PREMARKET LEVELS IN INTRADAY, THEY ARE ACCURATE MORE THEN 80-85% FOR INTRADAY ON OUR 25+ YEARS EXPERIENCE.

7. ANY MODIFICATION MASSAGES THR WAPP OR SMS TO MEMBERS.

B) PROFIT SHARE PLAN: In this we invest only in fundamental strong and high volume stocks with our 25+ years technical support like Infosys, reliance, tata steel etc.We never book losses and we never ask to book loss in this product; and investment is for limited time with our strong and technical research with 22+ years experience. We project 20% minimum to 100% per annum in this plan. Clients member fund lye with them and we ask them to invest timely. Investment made in this plan are more safer and higher returnable then other fund plans. Fund limit minimum 5 lakh and maximum no limits. Any more query contact personally on phone. For performance visit our profit share plan on our website.

C) LOST RECOVERY PLAN: In this plan we recover losses made by traders in stock market by our long experience through future and option segments. We try to recover losses so risk are their but recovery chances or success ratio are more then 85%. Membership should not be less then 5 lakh and upper has no limit.Return we try to give minimum 100% to maximum 300% P.A,where risk is 50-55% of members capital. For any more query can contact personally on calls.

D) HNI CALLS: In HNI calls we give only timely long or short calls in nifty plus 2-3 stocks, traders can trade in future plus options; gain in nifty is minimum 150 points to maximum 400 points and in stocks 3%-10% in future and in option minimum 30%-75% maximum per trade. In a year minimum 3 calls to maximum 6 calls members can be expected. If we donít get right signal of such trades we never recommend it, so members donít accept more calls. We believe in our long experience and own analysis only.

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