DATE STOCK PREVIOUS
CLOSE
INTRADAY/FUTURE TRADING (cash Level)         How to trade OPTION TRADING (as per cash level) % GAIN/LOSS (4 Times of spot)
02.07.20 NIFTY 10430.05 for subscribers for subscribers  
      Note: Intraday is totally different from position /never take intraday to position if not instructed , Its nifty or stocks.
......................
++ follow intraweek + overview in weekly always carefully, given below.
for subscribers  
  HDFBK 1084.60 for subscribers for subscribers  
  HPCL 222.35 for subscribers for subscribers  
  ICIBK 364.05 for subscribers for subscribers  
  RIL
bse
1737.90 for subscribers for subscribers  
01.07.20 NIFTY 10302.10 Intraday: once again test very low volume sell only @ 10335 + 10375 SL 10420 T 10275 + 10260

position trade & overview : also sell minor again as above and must follow SL very minor 10420 , T 10194 compulsory below it 10135 + 10045 + more in coming days //  buttt its advance sell so SL is minor must. && weekly trader follow SL now in long 10215 & dont buy further, if market panic but never hurry let mrkt confirm levels.

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
wapp 2.30pm: Overview + support: rally exactly not over / so selling still risk / more report in night only / todays sl was very minor pl note
Intraday:
avoid for poor range possibility


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
-SL was very minor & low volume


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

weekly buy in good profit  @ 10230
  HDFBK
bse
1065.70 Intraday: avoid today for safety


position trade & overview 

(3)
  0% no trade
  HPCL 216.75 Intraday: sell @ 220.50 + 223.25 SL 228.50 T 215.5 + 213.75     or can take to position as given below.

position trade & overview  : can sell @ 223.50 + 228.25 SL 233 in 1/3 days , T 218.50 + 215  max 208 in 4/6 days or follow with daily report

(2/1)
Intraday:
Buy put option, 220 strik, july series ,  as per cash level


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+4% gain in  intraday
 
+20% gain in intraday  option
  ICIBK 351.45 Intraday: buy @ 349.50 + 346.75 SL 343 T 353.25 + 355.25 , if open high cancel buy after 2pm may risk

position trade & overview 

(3)
  +6% gain in  intraday
 
(minor diff in level if applied)
  RIL
bse
1703.35 Intraday: use very low volume , sell @ 1723 + 1729.25 SL 1739 T 1705 or close on close level must.

position trade & overview  : rally exactly not over , but time consuming side move is their , follow daily report for fresh call

(3)
  -SL very minor & low volume

still we r bullish in stock , intraday is different
30.06.20 NIFTY 10312.40 Intraday: sell @ 10335 + 10375 SL 10420 T 10275 + 10240 , use very low volume , as minor pattern is in confusion.

position trade & overview : follow with daily report

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
  +90 Points gain intraday


 
  HDFBK
bse
1076.40 Intraday: sell @ 1087 + 1104 SL 1117.75 T 1082 + 1068 , strict intraday , trend is up


position trade & overview 

(3/2)
Intraday:
Buy put option, 1080/90 strik, july series ,  as per cash level , strict intraday



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0%
T achieved no trade


but our old smart members trade
  ICIBK 343.10 Intraday: sell @ 345 + 348.25 SL 354 T 339

position trade & overview 

(3)
Intraday:
Buy put option, 340 strik, july series ,  as per cash level , strict intraday

 
-SL
  RIL
bse
1723.15 Intraday: maintaining poor swing , so avoid

position trade & overview  : rally exactly not over , but time consuming side move is their , follow daily report for fresh call

(3)
   
  HPCL 225.20 Intraday: sell @ 228 + 229.75 SL 233.75 T 224.75 + 223.50

position trade & overview 


(3)
  +6% gain in  intraday
  TATA
STEEL
320.85 Intraday: sell @ 322.75 + 325.25 SL 330.75 (high but safe) T 319 + 317.75

position trade & overview 


(3/2)
Intraday:
Buy put option, 320 strik, july series ,  as per cash level ,
 
-SL
29.06.20 NIFTY 10383 Intraday: buy @ 10340 + 10310 SL 10260 T 10410 + 10455 or if Open high & T maintained , cancel after 1 pm , use low volume today.


position trade & overview : As i said minor confusion is their , so exit last short near close level or  cost to cost for safety , or today SL little high 10535/40 & follow daily report for fresh call.

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
wapp 11.39am: Today cancel all buy exit cost cost or SL / folo nifty only
Intraday:
avoid for safety



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
-40 points only intraday

very minor intraday , already said low volume

......................
last position short @ 10340 exited with very minor profit
.......................
..


weekly still we r buyer upto 10230 , follow below.

 
  HDFBK 1056.45 Intraday: buy @ 1050 + 1042.50 SL 1026 T 1061 + 1064 , or if T achieved , then cancel after 1 pm , variation in level may their but given r very safe


position trade & overview 

(3)
Intraday:
Buy call option, 1050 strik, july series ,  as per cash level , strict intraday



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+6% gain in  intraday
 
+25% gain in intraday  option

(open @ 1037)
  ICIBK 349.10 Intraday: sell @ 354  SL 360 T 348.75 + 345.25

position trade & overview  :  

(3)
Intraday:
Buy put option, 350 strik, july series ,  as per cash level , strict intraday
 
0% no trade
  RIL 1741.65 Intraday: use very low volume , buy @ 1733 SL 1718 T 1754 + 1762.75 , if open at T cancel buy after 1 pm

position trade & overview  : keep long SL 1710 on daily chart , dont make fresh long here , follow with daily report for fresh call.

(3)
Intraday:
avoid


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
-SL intraday
  HPCL 231.25 Intraday: buy only safe @ 228.50 + 226.75 SL 222.75 T 231.25 + 233.75 , strict intraday , stock may maintain complexion.

position trade & overview  : keep long  SL 220 , avoid fresh buy , follow daily report for fresh call.

(3)
  -SL
29.06.20
to
03.07.20
NIFTY
weekly
view
10383   position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
 
26.06.20 NIFTY 10288.90 Intraday: sell @ 10325 + 10365 SL 10430 T 10255 + 10240 max 10200


position trade & overview : follow SL in last short  10445 today , T 10240/10140  Or hold with daily SL till SL hit && note last day i asked low volume becose Nifty not maintained exact rules with a minor 5/10 points , it created confusion, take care & follow with daily report.


++
follow intraweek + overview in weekly always carefully, given below.
(3)
Intraday:
Buy put option, 10300 strik, july series ,  as per cash level , strict intraday



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
0% or -35 Points only
open @ 10378 came down to 10311 , then rise
already warned , follow nifty detail in position
.....................
stocks given good profit intraday

..................
follow weekly calls below.
      These taken much time , so no more today , as usual from next-day.    
  HDFBK 1028.75 Intraday: sell @ 1037.75 + 1047 SL 1058 T 1033 + 1029 or if open at T cancel sell after 1/2 pm & use low volume


position trade & overview  : exit last days sell near close level Or follow SL 1058 & follow fresh call in daily report

(3)
Intraday:
avoid


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+4% gain in  intraday

+15 Rs profit in last days sell @ 1039+1047 exited 1028 today ,
follow below.


 
 
  ICIBK 351 Intraday: sell @ 354 + 359 SL 364.50 T 353.25 + 349.75


position trade & overview  : cancel last view as T mostly 338 achieved ,  follow fresh call

(3)
  +6% gain in  intraday
 

 
  RIL
bse
1717.95 Intraday:

position trade & overview  : uptrend exactly not over , follow with daily report

(3)
   
25.06.20 NIFTY 10305.30 Intraday: sell @ 10340 + 10375 SL 10465 T 10280 + 10250 max 10220


position trade & overview : also sell minor qntty as above but presently SL is high 10540/560 in 1/2 days , T 10240/10150 / 10050 in short term Or hold with daily SL till SL hit.


++
follow intraweek + overview in weekly always carefully, given below.
(3)
Intraday:
Buy put option, 10300 strik, july series ,  as per cash level ,



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 

.................
any position buy in option buy july series only
+120 Points gain intraday

+20% gain in intraday  option
&

position open @ 10340 level

 
      NSE data delayed too much    
  HDFBK
bse
1032.0 Intraday: sell @ 1036 + 1039.75 SL 1051.50 T 1029 + 1021.75


position trade & overview  : can also sell minor qntty @ 1038.25 + 1046 SL 1058/59 in 1/2 days , T 1020 + 1016.50 max 1001 in short term or follow with daily report .

(3/2)
Intraday:
Buy put option, 1030/40 strik, july series ,  as per cash level ,

position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 

.................
any position buy in option buy july series only
+6% gain in  intraday
 
+25% gain in intraday  option

&
position open @ 1047+1039
  ICIBK 348.10 Intraday: sell @ 353 + 358 SL 366.75 T 350.75 + 348.75 r safe

position trade & overview  : sell @ 358 + 366.25 SL 375 in 1/2 days , T 337.50 + below 336 then 327 in short term or must follow with daily report.

(3)
Intraday:
Buy put option, 350 strik, july series ,  as per cash level ,

position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
 
+4% gain in  intraday
 
+15/20 % gain in intraday  option
  RIL 1727.35 Intraday: avoiding for safety

position trade & overview  : uptrend exactly not over , follow with daily report

(3)
  0% no trade
  HPCL 228.40 Intraday:

position trade & overview  : last days long exit @ 330 & follow with daily report for fresh call.

(3)
  +2 Rs gain in last days buy @ 228 exited 230
24.06.20 NIFTY 10471 Intraday: buy only safe @ 10405 + 10365 SL 10300 T 10460 + 10485 r very minor points so use very low volume OR if open at T cancel buy after 1pm & never keep long here

position trade & overview : keep long , SL 10270 , T  10384  achieved / further T as defined in weekly , avoid fresh buy (never develop position long) at this level or follow with daily report. Its on base of daily , weekly / monthly are different.

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
Intraday:
avoid




position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 

.................
any position buy in option buy july series only
+0% open above T , no trade already said in pre-market report


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

weekly T 10530 projected also achieved but this week level not traded
..................
 
      Today little risky-day take care    
  HDFBK
bse
1040.85 Intraday: buy @ 1034.25 + 1027.75 SL 1021.25 T 1044 , given r very safe or may risk , & or even if open near last days close or higher, then cancel buy after 1pm

position trade & overview  : just follow 1015 SL in long , avoid fresh buy here &  follow with daily report .


(3)
Intraday:
avoid



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0% open above T , no trade already said in pre-market report
 
  ICIBK 376.15 Intraday: buy @ 373 + 369.75 SL 366.25 T 377 + 378.75 , given r very safe or may risk , & or even if open near last days close or higher, then cancel buy after 1pm

position trade & overview  : just follow 363 SL in long , avoid fresh buy here &  follow with daily report .

(3)
Intraday:
avoid



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0% open above T , no trade already said in pre-market report
 
  RIL
bse
1720.05 Intraday: buy only safe @ 1703.50 + 1680 SL 1661 T 1709 + 1726 , variation may their , but r very safe level , use low volume.


position trade & overview  : keep long SL 1638 on daily ,  avoid fresh buy here very risky , follow with daily report.

(3)
Intraday:
avoid



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+T achieved no trade
  HPCL 237.60 Intraday: buy only safe @ 233.50 + 230.75 SL 227.50 T 236 + 238 , variation may their.

position trade & overview  : Avoid buy at high , can buy @ 228  + 223.75 SL 219 in 2/3 days , T 234.50 + 238 in short term or follow daily report

(3)
Intraday:
Buy call option, 230 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0% open above T , no trade as per intraday rule.

......................
position still rally is their
23.06.20 NIFTY 10311.20 Intraday: avoid today for safety.

position trade & overview : keep long , SL 10090 , T  10384  achieved , avoid fresh buy at this level or follow with daily report. Its on base of daily , weekly / monthly are different.

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
Intraday:



position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 

.................
any position buy in option buy july series only
+0% no trade intraday , but we r bullish for T .......

 
  HDFBK 1028.75 Intraday: buy @ 1021.75 + 1010 SL 999 T 1026 + 1032.75

position trade & overview  : keep long , buy minor more @ 1007 + 995 SL 979 in 1/3 days , T 1045 in 5+ days or follow with daily report .


(3/2)
Intraday:
Buy call option, 1010/1020 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+6% gain in  intraday
 
+25% gain in intraday  option
  ICIBK 367.55 Intraday: avoid

position trade & overview  :  T 372 achieved, still rally is in-force , follow with daily report for fresh level avoid at high

(3)
  We r bullish
  RIL 1746.15 Intraday: buy only safe @ 1727.75 +1704 SL 1678 T 1733 + 1749 , strict intraday , try to avoid overnight here


position trade & overview  : keep long SL 1658 on daily , T 1690/1776 also achieved , avoid fresh buy here very risky , follow with daily report.

(3)
Intraday:
Buy call option, 1700/1720 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+3% gain in  intraday
 
+15% gain in intraday  option

after buying 1st T achieved , 2nd not
 
  HPCL 238.60 Intraday: buy only safe @ 232.75 + 230.25 SL 225.50 T 235.25 + 237.25

position trade & overview  : Avoid buy at high , can buy @ 227.75  + 223.75 SL 219 in 2/3 days , T 234.50 + 238 in short term or follow daily report

(3)
Intraday:
Buy call option, 235 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+4% gain in  intraday
 
+15% gain in intraday  option

Minor diff in buy level
22.06.20 NIFTY 10244.40 Intraday: buy only safe @ 10175 + 10115 SL 9990 T 10225 + 10255 are safe , variation may their // Or if open high cancel buy after 2pm

position trade & overview : keep long , SL 9850 , can buy very minor qntty  @ 10000 + 9940 in 1/3 days , T 10320/328 + minor variation 10384 in 3/5 days or follow with daily report. Its on base of daily , weekly / monthly are different.

Note: never take intraday to position if not instructed.

++
follow intraweek + overview in weekly always carefully, given below.
(3)
Intraday:
Buy call option, 10200 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0%T achieved no trade , intraday



....................
+485 points gain in weekly level ,follow below. ++
on 12.06.20 who bot @ 9550 low open with our SL 9320 , is in 695 + points gain , follow overview on12.06.20 below
      today buying at low is safe otherwise risk , so level are low for safety.    
  HDFBK 1033.35 Intraday: buy @ 1020 + 1008.50 SL 993 T 1028 + 1034.50 , at high risky

position trade & overview  : keep long , buy more @ 1005 + 993 SL 972/71 in 1/3 days , T 1045 in 3/5 days or follow with daily report .


(3/2)
Intraday:
Buy call option, 1020 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0%T achieved no trade , intraday

................
Position defined T also achieved 1045
  ICIBK 363.80 Intraday: buy @ 356 + 351 SL 346 T 361.50 + 364.50

position trade & overview  : keep long , buy more @ 350.50 + 342.25 SL 335 in 2/3 days , T 365/372 in 5+8 days or follow with daily report .

(3)
Intraday:
Buy call option, 355/360 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0%T achieved no trade , intraday

................
Position defined T also achieved 372
  RIL 1759.40 Intraday: buy only safe @ 1728 + 1696.50 SL 1658 T 1745 + 1752 r very safe or at high risky


position trade & overview  : keep long SL 1658 on daily , T 1690/1776 also achieved , avoid fresh buy here very risky , follow with daily report.

(3)
Intraday:
Buy call option, 1700/1720 strik, jun series ,  as per cash level ,


position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0%T achieved no trade , intraday

................
Position defined T also achieved 372
  HPCL 223.65 Intraday: buy @ 219 SL 214.25 T 222.75 + 224.75

position trade & overview  : uptrend exactly not over .

(3)
  +0%T achieved no trade , intraday

 
22.06.20
to
26.06.20
NIFTY
weekly
view
10244.40 Intraweek - buy only safe at low @ 10050 + 9920 SL 9750 T 10300 + 10320 , or any ground if T 10328.50 achieved  then cancel buy afterward , and follow with daily report & fresh with next week level.

level are for whole week (monday to friday) , applicable to F/O accordingly

Overview for 1 & 2 weeks only : Buy as given above but in fresh buy very low volume , T 10328.50 and if maintain this, then above it 10365 max 10530 but its for 2 week , never buy at high Or follow with next week fresh report.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
 
+0% no trade

T achieved , Open high given level not trade
15.06.20
to
19.06.20
NIFTY
weekly
view
9972.90 Intraweek - buy @ 9830 + 9755 SL 9555 T 10040 + 10120

level are for whole week (monday to friday) , applicable to F/O accordingly

Overview for 2/3 weeks : can buy more @ 9747 + 9570 SL 9380 T 9935 + 10170 + 10355 or follow with weekly fresh view.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
9793 average buy - sell 10080 = 287 points gain in future

+75% to 90% gain in call option
08.06.20
to
12.06.20
NIFTY
weekly
view
10142.15 Intraweek buy only safe @ 9865 SL 9640 T 10140 + 10290 , at high may risk.

level are for whole week (monday to friday) , applicable to F/O accordingly

Overview : T 9939 achieved above it 10181 also almost achieved , then above it 10365 possibility but never buy at high , try to buy accumulate @ 9855 + 9665 SL 9320 (low but very safe ) for T 9880 + 9939 + 10180 + 10365 , these level are for 3/5 weeks , followed with weekly report.. follow last weeks report below.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
0% no trade intraweek, but those bot @ 9545 on friday open in handsome gain read carefully
(+350 points almost)

Till thursday low was 9885.05 , friday open @ 9545 below SL , so no mean of buy

 
01.06.20
to
30.06.20
NIFTY
monthly
view
9580.30 Intra-month buy  @ 9355 + 9230 SL 8950 T 9710 + 9880

level are for whole month (01.06.2 to 30.06.20) , applicable to F/O accordingly

Overview : above level is for june , presently compulsory T is 9889.05 , if maintain above it then 9900 to 9995 may also but it may in 2 month Or follow with next month report.
Never ignore SL and dont trade wrong.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
+0% level not traded


T achieved but given level not traded
01.06.20
to
05.06.20
NIFTY
weekly
view
9580.30 Intraweek buy only safe at low @ 9345 + 9215 SL 9080 T 9470 + 9560 Or close on close level of friday, or can turn to position given below. Buying at high may risk for intraweek.

level are for whole week (monday to friday) , applicable to F/O accordingly

Overview : can maintain T 9885 compulsory &  above 9889.05 then 9939 in medium term , but it may in 3 to 4/5 weeks Or follow with every week report.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
+0% no trade

T achieved , Open high given level not trade
26.05.20
to
29.05.20
NIFTY
weekly
view
9039.25 Intraweek not safe , so avoiding.   0%
18.05.20
to
22.05.20
NIFTY
Weekly
view
9136.85 Intraweek buy @ 9060 + 8920 SL 8830 T 9130 + 9220

level are for whole week (monday to friday) , applicable to F/O accordingly
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
0%


exited @ 8990 same level on monday itself , but 1st T achieved , follow wapp above in Nifty column
11.05.20
to
15.05.20
NIFTY
Weekly
View
9251.50 Intra-week buy only safe @ 9160 + 8920 SL 8830 T 9140 + 9270 , asking buy at low as minor trend down in daily chart .


 
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
+400 Points gain


+50%+ gain in call  option

bot @ 9160 next day open @ 9480+
      Level are applicable whole week / Month , position trader's can trade F&O accordingly.    
04.05.20
to
29.05.20
NIFTY
Monthly
view
9859.90 Intra-month Buy @ 9115 SL 8715 T 9380 + 9765
 
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
+450 points gain in future
+100/150 % gain in call option


3 times 1st T achieved from buy level 9115 & finally closed on
04.05.20
to
08.05.20
NIFTY
Weekly
view
9859.90 Intraweek sell @ 9835 SL 10050 T 9660 + 9575  &&&&

Intraweek buy @ 9290 + 9065 SL 8855 T 9410 + 9565


overview: rally in-force from 8055.80 , but buying at high risky , this week sell strict intraweek , buying safe in mild correction in next week.
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
0% sell Not traded


+120 points gain , bot monday , T 9410 achieved tuesday

+25% gain in call option
27.04.20
to
30.04.20
Weekly
View
9154.40 Intraweek sell @ 9200 + 9305 SL 9425 T 8960 + 8890

Note: level r applicable whole week , trade f&O according.



wapp 1.40pm: 27.04.20
cancel weekly sell exit cost cost as rally inforce chance of SL so for safety /
 
position trade:
follow with level and instruction in cash column , always buy current strik's option never of T levels
0%




exited @ 9300
20.04.20
to
24.04.20
NIFTY
weekly
view
9266.75 Intraweek sell @ 9405 + 9520 SL 9660 T 9320 + 9195

Note: level r applicable whole week , trade f&O according.
position trade:

follow with level and instruction in cash column , always buy current striks never of T levels
+200 points gain intraweek

+70% gain in put option
 
13.04.20
to
17.04.20
NIFTY
weekly
view
9111.90 Intraweek sell @ 9265 + 9405 SL 9660 T 9100 + 8980
 
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
+290 points gain intraweek

+90% gain in put option
 
07.04.20
to
10.04.20
NIFTY
weekly
View
8083.80 Intraweek sell @ 8280 + 8420 SL 8755 T 7980 + 7750

wapp & cancel sell possibility of 9000
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
0%


open @ 8446 so sell cancel
30.03.20
to
03.04.20
NIFTY
weekly
View
8660.25 sell @ 8965 + 9275 SL 9535 T 8465 + 8315 , for intraweek only , fresh level for next week. position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
0% T achieved but no trade on our level
23.03.20
to
27.03.20
NIFTY
weekly
view
8745.45 Intra-week sell @ 8925 + 9185 SL 9500 T 8465 + 8315 , level are high as current swing is also high.

Note: level are for week only , new level on next week.
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
 
16.03.20
to
20.03.20
NIFTY
Weekly
View
9955.20 sell @ 10123 + 10390 SL 10560 T 9730 , level are high because current swing is high. &&  level for intraweek only , next week fresh level.

Note: week for position trader's only
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
 
09.03.20
to
12.03.20
NIFTY
weekly
view
10989.45 for subscribers for subscribers  
02.03.20
to
06.03.20
NIFTY
weekly
view
11201.75 sell @ 11259 + 11425 SL 11585 T 11078 + 10985 . level for intraweek only , next week fresh level.

Note: month and week for position trader's only
 
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
+440 points gain
02.03.20
to
31.03.20
NIFTY
Monthly
view
11201.75 sell @ 11350 + 11460 SL 11670 T 11095 + 10989 , level are high as current swing is sharp.


Level applicable whole month for this month only , next month fresh level will their.
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
+440 points gain
01.02.20
to
29.02.20
Monthly
View
11661.85 Read carefully :

T for this month 11746 + 11606 max possibility is 11535 , now only sell safe @ 11820 + 11936 SL 12180.

use very low volume , as almost T r achieved or any ground even 11606 achieve then cancel sell call , because saturday smart trade taken advantage.
position trade:
follow with level and instruction in cash column , always buy current striks never of T levels
 
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 RULES :
   

A. 1 Best , 2 better , 3 good , no's given in Nifty or stock's .

B. 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.

C. 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 .

D. 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).
   
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.

E. SL MUST USE, NEVER TRADE WITHOUT SL.

F. 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.

G. 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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