25 yrs.
 
of experience

Pre-Market "Intraday Calls" more accurate (85% success) then online. Member's get calls 11pm, same calls upload on website for viewer's 1pm (afternoon).  Scroll down for performance.       

DATE STOCK CLOSE INTRADAY/FUTURE TRADING (cash Level)  How to trade OPTION TRADING (as per cash level) % GAIN/LOSS (4 Times of spot)
23.01.20 NIFTY 12106.90 Intraday: sell @ 12139 + 12168 SL 12219 T 12091 + 12069 , use low volume as selling at low , strict  for intraday

position trade & overview : T 12122 also reached , below it 12061 a level to follow , but mostly i am looking more downside not exactly now , can sell @ 12200 + 12259 in 2/3 days SL 12345 T 12061 + more in 5/6 days or follow daily report

Note:
Intraday is totally different concept , never take to position , if no instruction.
wapp 1.03pm: 1st T Almost achieved further may not so can cancel or folo with rule we generaly dont change online as premrkt almost rite
Intraday:

a)  Buy put option , jan series , 12150/12100 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+65 points gain in  intraday
 
 +20% gain in intraday option

1st T achieved then cancel after 1pm wapp in nifty column
  CIPLA 471.60 Intraday: sell @ 474.45 + 476.65 SL 479.35 T 471

position trade & overview :  can resale more @ 476.65 + 478.20 SL 484 T 471.50 or follow daily report

(3)
  +6% gain in  intraday
 
 again handsome profit in position also

diff rule applied
  HDFBK 1240.85 Intraday: strict intraday sell @ 1247.70 + 1252.95 SL 1256.10 T 1240.35 + 1236.40


position trade & overview :  stock in downside correction , avoid at low , follow daily report

(3)

 

Intraday:

a)  Buy put option , jan series , 1240 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+3% gain in  intraday
 
 +15% gain in intraday option


diff in rule taken , and minor profit taken
  TATA
STEEL
475.05 Intraday: sell @ 481.90 SL 486.50 T 476.15 , variation may but given is safe otherwise may risk


position trade & overview :  still downside correction , T 481 achieved , follow daily report for fresh call

(3)

Intraday:

a)  Buy put option , jan series , 480 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+3% gain in  intraday
 
 +10% gain in intraday option


minor profit taken
  TCS
bse
2206.50 Intraday: sell @ 2216.90 + 2229.75 SL 2249.35 T 2212.60 + 2205.75


position trade & overview :  Just modify SL 2250 in last short (open @ 2204.50) & don't make more volume , 2 days will decide future cource.

(3)

  +4% gain in  intraday
 
 
last short (open @ 2204.50)

handsome profit in position
22.01.20 NIFTY 12169.85 Intraday: sell @ 12202 + 12225 SL 12286 T 12150 + 12127


position trade & overview : T 12180 achieved , now 12121 next T in 3 days , SL 12290 today . More follow daily report , avoid sell at low Or can sell minor more @ 12250 in 1/2 days SL 12340 T 12180 + 12122 or more

(3)

Note:
Intraday is totally different concept , never take to position , if no instruction.
Intraday:

a)  Buy put option , jan series , 12200 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+95 points gain in  intraday
 
 +30% gain in intraday option
  CIPLA 473.40 Intraday: sell @ 475.75 + 477.60 SL 479.35 T 472.50 + 471

position trade & overview :  keep short , sell more @ 476.35 + 478.90 SL 484 in 1/2 days,T 474 + 471.50 in 2 to 4 days  or follow daily report

(3)
  +6% gain in  intraday
 
.2% diff rule applicable


+6% gain in  position also
  RIL 1533.90 Intraday: sell @ 1542.50 + 1550.70 SL 1565.55 T 1537.70 + 1530.20


position trade & overview : 

(3)

  +4% gain in  intraday
 
 
  TATA
STEEL
476.15 Intraday: sell @ 479.70 + 482.10 SL 486.70 T 476.10 + 474.30


position trade & overview :  T  481 achieved  , can sell more @ 483.55 + 489.70 SL 498.50 in 2/3 days , T 480 + 475.50 in 3 to 5 days Or follow daily report
(2)

 

Intraday:

a)  Buy put option , jan series , 480 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+6% gain in  intraday
 
 +25% gain in intraday option


handsome profit in last position follow below
  TCS
bse
2171.45 Intraday: sell @ 2182.95 + 2197.15 SL 2220.35 T 2174.25 + 2165.10


position trade & overview :  Keep short , sell more @ 2188 + 2204.50 in 1/2 days SL 2230 1 to 2 days , T 2155 + 2122 in 3 & 6 days or follow with daily report

(1)

 

Intraday:

a)  Buy put option , jan series , 2180 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option


+ position open
21.01.20 NIFTY 12224.55 Intraday: sell @ 12267 + 12286 SL 12325 T 12203 + 12185


position trade & overview : Keep short , sell minor more @ 12287 + 12322 SL 12380 for 1to3 days , T 12180 + 12122 in min 2days or max 4 days Or follow with daily report.
(3)
wapp 1.10pm: T for short term given in news for nifty + stoks / sometime we may mis intraday trades no wory / more view in night report never trade rong
Intraday:

a)  Buy put option , jan series , 12250 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+ T achieved intraday , no trade
................
good profit in last position sell Tatasteel + Nifty
..................

Last day short open .1% diff rule applied
  AXISBK 727.20 Intraday: sell @ 731.95 + 735.55 SL 739.85 T 727.25 + 725 max 723.25 , level r high for safety

position trade & overview :  stock in high complexity , so following intraday

(3)
Intraday:

a)  Buy put option , jan series , 730 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+6% gain in  intraday
 
 +20% gain in intraday option


diff in level applied
  CIPLA 480.15 Intraday: sell @ 482 SL 484.75 T 477.75 + 476.75

position trade & overview :  can also sell as above SL 486 in 1/2 day , T 474.50 + 472.25 , in 3/5 days

(3)
  +4% gain in  intraday
 
 +20% gain in intraday option
diff in level applied
............
position T also hit
  RIL
bse
1532 Intraday: sell only safe @ 1554.20 + 1568.20 SL 1578.10 T 1532.65 , variation may but given level r best

position trade & overview : 

(3)
Intraday:

a)  Buy put option , jan series , 1560/1540 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+ T achieved intraday , no trade
................
  TCS 2170.35 Intraday: sell @ 2179.10 + 2193.25 SL 2216.50 T 2168.45 + 2158.50 


position trade & overview :  Keep short , sell more @ 2188 + 2204.50 in 1/2 days SL 2230 1 to 2 days , T 2155 + 2120 in 3 & 6 days or follow with daily report

(2)

 

Intraday:

a)  Buy put option , jan series , 2180 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option

............
position 1st T also hit // 2nd pending
  TATA
STEEL


 
490.65 Intraday: sell @ 492.55 + 494.30 SL 499.90 T 487.75 + 486.10


position trade & overview :  Keep short (open @ 497.95) SL 501 , T 485.50 + 481 , in 2 & 4 days , then follow with daily report

(1)

Intraday:

a)  Buy put option , jan series , 490 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+ T achieved intraday , no trade
................


+17 Rs gain in position sell
+40% in option








 
20.01.20 NIFTY 12352.35 Intraday: can avoid or use low volume , sell @ 12378 SL 12405 T 12334 + 12321 , last day maintain neutrality , so SL must , buying little risky so avoiding.

Note: Intraday is totally different concept , never take to position , if no instruction.

position trade & overview : Keep long with SL 12275 for daily , but never buy fresh here. We exited our long @ 12201 , no position open , follow daily report for fresh call.
(3)
wapp 1.11pm: position trader sell in bounce @ 12313 + max 12363 sl 12435/40 T 12278 broken below it 12215 but never sell at low / never sell at low //Or just modify 12289 + 12313 + 363 sl 12435/440 t defined + more detail in news at night
Intraday:

a)  avoid


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+ short open follow wapp , T 12215 achieved in same day
...........


see stunning stocks selling calls below
.............

follow weekly report of 5/6 weeks below, 85% success ratio
  RIL 1581 Intraday: sell @ 1593.05 + 1599.10 SL 1608.80 T 1587.15 + 1580.10 , in-between is risky.


position trade & overview :  On daily stock in rally , SL for long 1535 for 2 days , avoid fresh buy here , follow daily report

(2)
Intraday:

a)  Buy put option , jan series , 1600 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+8% gain in  intraday
 
 +30% gain in intraday option
  TATA
STEEL
495.25 Intraday: sell @ 497.95 + 501 SL 505.05 T 495.40 + 491.95 , then read below carefully


position trade & overview :  if same day maintain below 491.80 T possibility 481 in 2/3 days + more , so sell according , but 491.50 must maintain , dont hurry , and follow with daily report.


(3)
Intraday:

a)  Buy put option , jan series , 500 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+6% gain in  intraday
 
 +25% gain in intraday option
  TCS 2219.10 Intraday: sell @ 2233.20 + 2238 SL 2248 T 2219.15 + 2211.05


position trade & overview :  keep long SL 2183 for 2 days , avoid fresh buy, follow daily report for fresh call.

(3)
Intraday:




position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+6% gain in  intraday
 
 
20.01.20
to
24.01.20
NIFTY
weekly
view
12352.35 Intra-weekly : use very low volume as T already achieved , can again buy @ 12281 + 12238 SL 12210 T 12340 + 12378 //

Note: level r applicable for whole week for F+O trade.

View: 
position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
17.01.20 NIFTY 12355.50 Intraday: buy @ 12347 + 12321 SL 12294 T 12379 + 12398 , use low volume as points r low & level is high .

Note: Intraday is totally different concept , never take to position , if no instruction.

position trade & overview : Keep long with SL 12275 for daily , but never buy fresh here. We exited our long @ 12201 , no position open , follow daily report for fresh call.

(3)
Intraday:

a)  avoid


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+57 points gain in  intraday

 










weekly report follow below.
  AXISBK
bse
737.30 Intraday: sell @ 741.40 + 745.10 SL 748.90 T 737 + 734.45

position trade & overview : not open 

(2)
Intraday:

a)  Buy put option , jan series , 740 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+2% gain in  intraday
 
 +10% gain in intraday option



 
  HDFBK 1287.65 Intraday: buy @ 1285.45 + 1282.55 SL 1279 T 1289.45 + 1291.45 , use low volume , swing poor & if T achieve then cancel buy after 1pm

position trade & overview :  SL for long on daily 1274 , avoid fresh buy as stock already in rally from 1236

(4)
  -SL
  RIL 1537.90 Intraday: buy @ 1535.10 + 1530.80 SL 1524 T 1543.20 + 1546.50 , use low volume , swing poor & if T achieve then cancel buy after 1pm


position trade & overview :  may correct more as per monthly report below, selling from 1550.

(3)
 
  0%,Buy T achieved but no trade
  TATA
STEEL
494.40 Intraday: sell @ 499.40 SL 504.45 T 493.65 , testing at high , as adjacent move in minor neutrality

position trade & overview : keep long , SL 488 for today.

(3)
Intraday:

a)  Buy put option , jan series , 500 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option


diff in level applied
  TCS 2238.80 Intraday:

position trade & overview : keep long , SL 2209 , avoid fresh buy here.

(3)
   
16.01.20 AXISBK 746.30 Intraday:

position trade & overview : exit last days long @ close level, as last day not crossed 751.50

(3)
  + 2Rs gain in last days buy


 
  RIL 1523.85 Intraday: use low volume , sell @ 1533.40 SL 1541.15 T 1522.20 + 1517.40


position trade & overview : may correct more as per monthly report below.

(3)
  0%

exited 1533 @ 1.15pm
  TATA
STEEL
502.10 Intraday: buy @ 495.65 SL 491.60 T 503.40 + 505.95

position trade & overview : keep long , SL 488 for today.

(2)
Intraday:

a)  Buy call option , jan series , 500 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
0% exited same cost or open at 1st T so mostly we avoid if intraday T achieved
15.01.20 NIFTY 12362.30 Intraday: buy @ 12339 + 12308 SL 12268 T 12374 + 12395 , use very low volume.



position trade & overview : keep long SL 12225 on daily chart . Also refer weekly report below.

(3)
Intraday:

a)  Buy call option , jan series , 12300/12350 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+25/30 points gain in  intraday
 
 +15% gain in intraday option
  AXISBK
bse
747.65 Intraday: buy @ 745.75 + 742.90 SL 738.60 T 750.55 + 753.85

position trade & overview : can also use low volume buy as above , T 751.50 + 755.35 + 760.25 book profit , time min 2 max 4 days , SL 734 , stock already in rally from 709.30 .

(1)
 
Intraday:

a)  Buy call option , jan series , 740/750 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option

.2% diff level rule applied (rule C)
  RIL 1529.40 Intraday: use low volume , sell @ 1534 + 1540.20 SL 1550 T 1528.65 + 1522.25


position trade & overview : Last days position long exit @ 1530.50 to 1534 or SL 1517 today , as 1st T 1557 already achieved in 2 days , and on monthly stock may correct downside , already given in monthly report below on 01.01.20

(2)
Intraday:


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option
  TATA
STEEL
498.60 Intraday: buy only safe in panic @ 493 + 489.95 SL 486 T 496.55 safe

position trade & overview : keep long , SL 479 in 2 days .

(3)
Intraday:

a)  Buy call option , jan series , 490 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+4% gain in  intraday
 
 +20% gain in intraday option
  TCS 2206.90 Intraday: buy @ 2201.95 + 2196 SL 2184 T 2219.15 + 2226.50

position trade & overview : keep long , SL 2183 .

(3)
  +4% gain in  intraday
 
 
14.01.20 NIFTY 12329.55 Intraday: sell @ 12374 + 12395 SL 12437 T 12326 + 12286 // & buy @ 12242 SL 12180 T 12285 + 12326

Today's level r high & low for safety , otherwise avoid and concentrate on stocks.

Note: Intraday is totally different concept , never take to position , if no instruction.

position trade & overview : uptrend is in-force , hold with SL  12180 . Also refer weekly report below.
(3)
Intraday:

a)  Buy call option , jan series , 12250 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+16 points gain in intraday sell

0% buy not traded
  AXISBK 737.40 Intraday: buy @ 730.50 SL 725.25 T 736.80

position trade & overview :

(2)
 
Intraday:

a)  Buy call option , jan series , 730 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
0%,Buy T achieved but no trade
  RIL 1543.70 Intraday: buy @ 1534.35 + 1528.65 SL 1517.30 (low but safe) T 1540.10 + 1544.65


position trade & overview : Buy @ 1534 + 1522 in 1-2 days SL 1509 , T 1557.50 + 1571.50 in 3 min Or 6 max days , follow with daily report

(3)
wapp @ 2.4pm : Try to exit RIL intraday or position both cost cost or SL as given / rest no change
Intraday:

a)  Buy call option , jan series , 1540 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels

1531.50 cost , ask to exit same level

- 2Rs loss

 
  SBI 330.75 Intraday: buy @ 327.70 + 324.55 SL 320.40 T 330.75 + 333.25

position trade & overview :

(2)
Intraday:

a)  Buy call option , jan series , 325 / 330 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+2% gain in  intraday
 
 +10% gain in intraday option
  TATA
STEEL
495.75 Intraday: buy only safe in panic @ 486.55 SL 480.80 T 493.40 + 496.50 //

position trade & overview :

(3)
  0% , no trade
13.01.20 NIFTY 12256.80 Intraday: buy @ 12187 SL 12134 T 12258 + 12284 or close on close level // & strict intraday sell @ 12285 + 12326 SL 12375 T 12268 + 12234

Note: Intraday is totally different concept , never take to position , if no instruction.


position trade & overview : Still rally inforce , follow daily report for fresh call , and also follow weekly report.

(3)
Intraday:

a)  Buy call option , jan series , 12200 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
0% in buy

0% in sell or    
-20 points loss only

open high
................


on 30.12.19 already said 12349 , follow below in weekly report
  AXISBK 740.05 Intraday: buy @ 735.50 + 730.50 SL 725.35 T 740.45 + 744.45

position trade & overview :

(2)
 
Intraday:

a)  Buy call option , jan series , 740 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+3% gain in  intraday
 
 +10% gain in intraday option
  RIL 1547.65 Intraday: buy @ 1534.10 SL 1524.35 T 1545.30 + 1549.75


position trade & overview : Buy @ 1534 + 1522 in 1-2 days SL 1509 , T 1557.50 + 1571.50 in 3 min Or 6 max days , follow with daily report

(3)
Intraday:

a)  Buy call option , jan series , 1540 strik,  as per cash level //


position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
Buy T achieved but no trade
  SBI 332.25 Intraday: buy @ 329.10 + 327.70 SL 324.40 T 332.55

position trade & overview :

(3)
  +3% gain in  intraday
 
 
  TATA
STEEL
486.20 Intraday: sell @ 492.65 + 498.15 SL 501.40 T 490.85 + 487.95 , sell level is high for safety , intraday buy is risky

position trade & overview : still trend is up , but buying at high may risk , follow daily report.

(3)
Intraday:

a)  Buy put option , jan series , 490 strik,  as per cash level //
-2/3 Rs loss in intraday




we r bullish
06.01.20
to
10.01.20
NIFTY
weekly
view
12226.65 Intra-weekly : buy only safe @ 12142 + 12064 SL 11947 T 12172 + 12215

View: last 2 week nifty maintained neutrality , so asking buy at low , rally exactly not over. Rest follow with daily report.
position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
update on friday
      Intraday report for 03.01.20 given below.   follow wapp 1.57 pm in daily report below.
30.12.19
to
03.01.20
NIFTY
weekly view
12245.80 Intra-weekly : buy @ 12236 + 12206 SL 12140 T 12293.90/12295 exit , above it 12349 possibility but in next week position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
cost 12221 (close 12227) , ask to keep long rally not over
      Take print Or note level's , are applicable whole month , following rules on "How to Trade"    
01.01.20
to
31.01.20
NIFTY
monthly
view
12168.45 avoid trade for safety , level are for reference , as compulsory T 12103.05 already achieved , and projected T 12293 is also almost completed.

Intra-month : buy safe @ 12161 + 12046 SL 11900 T 12293 max 12448.
 
position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
01.01.20
to
31.01.20
RIL
monthly
view
1514.10 Intra-month : sell @ 1544.10 + 1562.75 SL 1619 T 1494.35 + 1445.30 position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
  SBI
Monthly
View
333.75 Intra-month : Little high complexion , so avoiding , follow our weekly & daily report , stock is bullish in long term.    
30.12.19
to
03.01.20
NIFTY
weekly
view
12245.80 Intra-weekly : buy @ 12236 + 12206 SL 12140 T 12293.90/12295 exit , above it 12349 possibility but in next week position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
++
  RIL
weekly
view
1542.35 Intra-weekly : sell @ 1551.05 + 1563.75 SL 1585.40 T 1533.80 + 1522.95 position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
  SBI
weekly
view
337.25 Intra-weekly : buy @ 335.75 + 333.80 SL 329 T 340.10 + 343.75 position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
30.12.19
to
03.01.20
TATA
STEEL
weekly
view
469.50 Not safe , stock in rally , follow with daily report    
23.12.19
to
27.12.19
NIFTY
weekly
view
12271.80 avoid buy at high , T 12283 already achieved , above it 12322 next possibility but mostly it may not. Try to buy in any panic @ 12142 + 12064 SL 11990 T 12158 + 12201 or close on close level Or can  hold with SL 11947 . above level are applicable for this week only ,Fresh level will in next week .
(3)
position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+109 points gain intra-week

+30% gain in option
23.12.19
to
27.12.19
NIFTY
weekly
view
12271.80 for subscribers

can view on friday
for subscribers +155 points gain in position as per weekly report , bot @ 12046 exited 12201 80% rest open
 
23.12.19
to
27.12.19
RIL
weekly
view
1599.10 for subscribers for subscribers  
23.12.19
to
27.12.19
SBI
weekly
view
337.85 for subscribers for subscribers  
16.12.19
to
20.12.19
NIFTY
weekly
view
12086.70 buy @ 12036 + 11998 SL 11930 T 12158.80 above it 12201.

Level (cash) for this week only , can trade F& O accordingly,
Position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
 
      SAMPLE


for subscribers
Intraday:

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

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

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

b) sell call/put option, july 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:

1) INTRADAY/FUTURE/OPTION TRADING

    Rule A-F are applicable in Intraday / weekly / Monthly.

A. PRE-MARKET ( at 12pm in night) LEVEL IN NIFTY & STOCKS ARE NSE 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.

B. 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 .

C. 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 or max .2% 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.

D. SL MUST USE, NEVER TRADE WITHOUT SL.

E. IF INTRADAY T ACHIEVED, CANCEL TRADE FURTHER.

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

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

2) 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 25+ years experience. We project 30% 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.

3) 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.

4) 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 6 calls to maximum 12 calls members can be expected. If we don’t get right signal of such trades we never recommend it, so members don’t expect more calls. We believe in our long experience and own analysis only.

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