This post is only for our Subscriber…
Buy.. Buy.. Buy.. BFUTILIE, ZEEL
Bounce back Possibility (ZEEL, NAGARCONST) Result
NIFTY FUTURE…. IS THERE ANY BOTTOM LEVELS?
6000/6015
your stop loss 5995
Charts Indicate, From here Bounce back possible…?
Lets See… What happen?
I’ll update for Subscriber…
What time market will give recovery?
1 o clock or 1:50 o clock…?
Remembers Levels of Nifty future … 101% you will success…
Buy in deep ZEEL, NAGARCONST (Levels updated for Subscribers only)
The Quarterly Results for the following companies are due to be announced today: L & T, HDFC, ING Vysya Bank, CRISIL
Somebody is known to result before 10-15 days: Relatives, Promoters, friends etc.
Guesstimate: Reliance Trading Calls & Report
Reliance
Last closed: 1040
Watch hurdle: 1053
(Once crossover and stay for 5min. 1064-1068 and closed then…positional up trend start again 1100-1122)
Below 1054: Bears controlled so Targets 1027-1020
In the Coming Days… Tickets for buying BAJAJ-AUTO, GVKPIL, NTPC etc
Nifty Fut. 18-10-2010
Just Watch Opening bells: 6063-6072
Minor Support: 6052 & Suppose to not break 6065 also,… then targets 6105-6132 & Positional 6185-6235
(If stay below 6055 for 10min… it will Take 6035-6028)
Today Watch: 6025
(Once breaks and close below it… PANIC will test 5969-5955)
Positional Message: Closing below: 6000 (Nifty Trend enter into Bearish)
Targets 5922-5900 and 5865-5832
From here, Bounce Possibility is highly activated… for 6178-6235
Bookmark
NSE Stock Tips: DLF, IRB, DrReddys, JaypeeGroup
(Crossover and stay above 5 min and Just see Panic 266-268)
3-Consecutive Days close 264 above… then PANIC 270 intraday and 277/281
Short Term Trend: Down
(Trend will change soon)
Below 261, it may take 254-250 and 246 also…
Not Counting Opinion of anyone. The market will do what it will happen… We follows levels and don’t take Worry
2-3 Consecutive days, closing below 1582 … then it will take intraday 1564-1569
Short Term Targets 1552-1548 and 1526-1536
I’ll update due to market hrs
Once Breaks 367… then PANIC 362-358 Intraday
If trade below 362 ends of trading days… think for future sell & sell for targets 356-359
I’ll update more for subscriber…
Sell & Sell Opening Bell: 134 – 135
(Your Stoploss 135.5)
Once breaks 132… Stay 5 min… Then PANIC will take 128-130 soon
Closing Bell: Just, turn your eye of Future (JP) end of secession… 132 closing… sell future 1lot for targets 127-131 (2-3 days)
(Profitable traders know the exit is always more important than the entry)
As per above lines, Buy & Buy for 2-3 Days of Trading for 142-145 if close above 135 & cross 136 for targets of PANIC 138-139 Intraday
More Update Time by Time for Subscribers only due to market hrs…