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Past Performance - September 2011

All in One Package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
02/09/2011 Buy M&M FUTURE At 744 739 750-754 Intraday Both Target Achieved
02/09/2011 Buy TITAN FUTURE Around 209.50-210 206 216-218 Intraday Book at 210.50
02/09/2011 Buy SBIN FUTURE Above 2015 2000 2040 Intraday Stop Loss
05/09/2011 Buy RELINFRA FUTURE At 452 445 466 Intraday Booked At 459-560
05/09/2011 Buy ICICIBANK Above 875 866 885 Intraday Target Achieved
05/09/2011 Buy LOVABLE Above 602 597 610 Intraday Stop Loss
05/09/2011 Buy BAJAJ-AUTO FUTURE 1662 1644 1680-1700 Intraday 1st Target Achieved
05/09/2011 Buy NITINFIRE Above 137.90 134.5 140-144 Intraday Both Target Achieved
05/09/2011 Buy ICICIBANK Above875 866 888 Intraday Book full at 885-886
06/09/2011 Sell AMRUTANJAN At 797-800 810 785-770 Intraday 1st Target Achieved
06/09/2011 Sell ORCHIDCHEM FUTURE Bilow 197 202 190 Intraday Stop Loss
06/09/2011 Sell YESBANK FUTURE Around 279-279.50 284 275-270 Intraday 1st Target Achieved
06/09/2011 Sell ICICIBANK Around 862-860 870 850-844 Intraday Stop Loss
07/09/2011 Buy ICICIBANK FUTURE AT 895-896 883 907-920 Intraday Booked at 903
07/09/2011 Buy LOVABLE 630-6631 622 638-650 Intraday Stop Loss
07/09/2011 Buy RELINFRA FUTURE AT 465 459 470-475 Intraday Both Target Achieved
07/09/2011 Sell JUBLIANTFOOD BELOW 988 1001 976-964 Intraday Both Target Achieved
07/09/2011 Sell BAJAJ-AUTO Around 1638-1640 1653 1628-1615 Intraday Stop Loss
08/09/2011 Buy MAX FUTURE AT 203 199 210 Intraday Target Achieved
08/09/2011 Buy INFY FUTURE AT 2315-2320 2290 2355 Intraday Booked at 2335-2340
08/09/2011 Sell TCS AT 1052-1054 1062 1030 Intraday Booked at 1038-1040
09/09/2011 Buy TCS Around 1118-1120 1098 1145-1155 Intraday Booked at 1129
09/09/2011 Buy ICICIBANK Future Above 911-912 905 918-925 Intraday Stop Loss
09/09/2011 Sell M&MFIN below 660 666 652-640 Intraday Target Achieved
09/09/2011 Sell HEXAWARE Future Around 80-80.50 82 78-76-74 Intraday Booked at 77
09/09/2011 Sell TataMotors Below 764 775 735-30 Intraday Exit cost to Cost
09/09/2011 Buy Nifty Future Above 5100-5105 5070 5140-5160 Intraday 1st Target Achieved
12/09/2011 Sell M&M FUTURE AT 787 793 763 Intraday Booked at 780
12/09/2011 Sell TATACHEM Below 327 331 320 Intraday Exit in Loss at 330
13/09/2011 Sell RELCAP AT 404-405 413 390-380 Intraday Stop Loss
13/09/2011 Buy BOB FUTURE Around 760-762 752 775 Intraday Stop Loss
13/09/2011 Buy SIEMENS Around 859-860 852 868-875 Intraday Stop Loss
14/09/2011 Sell ICICIBANK CASH & FUTURE AT 850-852 860 835-825 Intraday Booked at840-842
14/09/2011 Sell SBIN Around 1840 1855 1800 Intraday Booked at 1822
14/09/2011 Buy Nifty Future Around 5000-5005 4970 5060 BTST Booked at 5030-5035
15/09/2011 Buy JUBLFOOD FUTURE AT 900 892 910-915 Intraday Target Achieved
15/09/2011 Sell HCLTECH Below 400 404 396-392 Intraday Both Target Achieved
15/09/2011 Buy CHABALFET FUTURE AT 109.50-110 108 114-117 Intraday Booked at 111.50-112
15/09/2011 Sell Nifty Future Around 5005-5010 5040 4970 Intraday Target Achieved
15/09/2011 Buy INFY CASH & FUTURE AT 2335-2340 2300 2400 Intraday Booked at 2360-2365
16/09/2011 Buy AMBUJACEMENT FUTURE AT 148-148.50 146 152-155 Intraday Booked at around 151-151.50
16/09/2011 Buy HATHWAY Above 85.60 83.6 88-90 Intraday Move fast
16/09/2011 Buy MARG Above 92 90 94-97 Intraday Buyinig not Initiated
16/09/2011 Buy MAXWELL Above 28 27.5 29.50-31 Short term Made High 30.80
16/09/2011 Buy AREVAT&D Future Above 225 220 236 Intraday Stop Loss
19/09/2011 Sell CARIN Future Around 290.20 292 287.5 Intraday Made low 288.75
19/09/2011 Buy SBIN Future Above 1915 1900 1950 Intraday Exit cost to Cost
20/09/2011 Sell ICICIBANK Around 865-868 875 850-840 Intraday Exit cost to Cost
20/09/2011 Buy RENUKA FUTURE Around 60.30-60.50 59 63 Intraday Booked at 61.30
20/09/2011 Buy TTK HEALTH ABOVE 540 532 547-554 Intraday Buying not Initiated
20/09/2011 Sell RELCAPITAL Below 404 412 395-390 Intraday Stop Loss
20/09/2011 Sell SBIN CASH & FUTURE Around 1935-1938 1955 1910-1890 Intraday Stop Loss
21/09/2011 Sell TATAMOTOR FUTURE AT 164 166.3 163.50-160 Intraday Both Target Achieved
21/09/2011 Sell SBIN Below 2007 2022 1990-1977 Intraday Stop Loss
21/09/2011 Buy ARVIND Above 96.50 95 98.5 Intraday Target Achieved
21/09/2011 Buy GODREJIND Future Above 207.50 205 212 BTST Booked at 9.50
22/09/2011 Buy GRAVITA ABOVE 431 426 435-439 Intraday 1st Target Achieved
22/09/2011 Sell ACC FUTURE AT 1068-1070 1080 1057-1047 Intraday Stop Loss
22/09/2011 Sell HINDUNILVR Below 336 342 331 Intraday Target Achieved
22/09/2011 Sell BHEL FUTURE Around1619-1620 1630 1610-1600 Intraday Both Target Achieved
22/09/2011 Sell ICICIBank Future Around 872-873 888 850-835 Intraday booked at 864-865
23/09/2011 Sell BHARTIAIRTEL FUTURE AT 368 373 360 Intraday Booked at 362
23/09/2011 Sell HINDALCO FUTURE Below 136 138.5 134-130 Intraday 1st Target Achieved
23/09/2011 Buy A2ZMES Above 219 210 235 Intraday Booked at226
26/09/2011 Sell BPCL Future below 658.70 665 351-646 Intraday 1st Target Achieved
26/09/2011 Sell CAIRN Future Below 269-270 275 264-362 Intraday Both Target Achieved
26/09/2011 Sell SIEMENS Below 839 846 826 Intraday Stop Loss
27/09/2011 Buy DELTACORP Above 103.50 101 107 Btst Stop Loss
27/09/2011 Buy YESBANK FUTURE Above 272 268 282 Btst Stop Loss
27/09/2011 Buy MCDOWELL-N Above 772 762 792 Intraday Booked at 785
28/09/2011 Sell JETAIRWAYS Below 260 266 255-249 Intraday Both Target Achieved
28/09/2011 Sell AXIS BANK FUTURE AT 1077 1087 1060 Intraday Stop Loss
28/09/2011 Buy UBHOLDING Cash above 121 119.4 124-128 Intraday Stop Loss
29/09/2011 Sell ICICIBANK CASH & FUTURE AT 865-866 875 850-840 Intraday Booked at 856-858
29/09/2011 Sell FEDERAL BANK FUTURE AT 366 370 362-359 Intraday Target Achieved
29/09/2011 Sell ABB BELOW 710 718 700-690 Intraday Selling not Initiated
30/09/2011 Buy JINDALPOLY AT 206.50 203 211 Intraday 1st Target Achieved
30/09/2011 Sell HINDALCO Future Below 132 136 125-122 Intraday Booked at 131.40-131.50
30/09/2011 Buy ICICIBANK FUTURE AT 878 870 890 Intraday Booked at 885
30/09/2011 Buy SBIN FUTURE AT 1935 1920 1960-1970 Intraday Stop Loss
30/09/2011 Sell BIOCON Future Below 340 345 335 Intraday Booked at 335-336
Nifty package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
02/09/2011 Buy BANKNIFTY Around 9520-9530 9400 9700 Intraday Booked at 9600
05/09/2011 Buy Nifty Future Around 4960-4965 4940 5000-5030 Intraday 1st Target Achieved
05/09/2011 Sell Nifty Future Around 5015-5020 5070 4960 Intraday Target Achieved
05/09/2011 Buy BANKNIFTY Around 9470-9480 9400 9800 Intraday Stop Loss
07/09/2011 Buy Nifty Future AROUND 5090-5095 5070 5120-5140 Intraday Exit cost to Cost
07/09/2011 Sell Nifty Future AROUND 5095-5100 5135 5070-5050 Intraday Stop Loss
07/09/2011 Buy Nifty 5100 CA Around 140-145 80 190-210-230 2-3 days Stop Loss
07/09/2011 Buy Nifty Future AROUND 5130-5135 5100 5200 BTST Stop Loss
08/09/2011 Buy BANKNIFTY AT 9750 9550 10000 Intraday Booked at 9900-9910
09/09/2011 Buy Nifty Future Above 5100-5105 5070 5140-5160 Intraday 1st Target Achieved
09/09/2011 Buy Nifty Future Above 5100-5105 5070 5140-5160 Intraday Stop Loss
09/09/2011 Sell Nifty Future AROUND 5065-5070 5100 5000 STBT Booked at 5040-5045
12/09/2011 Buy Nifty Future Around 4960-4965 4930 5000-5030 Intraday Stop Loss
12/09/2011 Sell Nifty Future Around 4960-4965 5020 4850 STBT Booked at 4925-4930
13/09/2011 Buy Nifty Future Around 4990-4995 4950 5050-5080 Intraday Book Profit at 4930-4935
13/09/2011 Sell Nifty Future Around 4940-4945 4990 4850 STBT Booked at 4910-4915
14/09/2011 Buy BANKNIFTY AT 9280-9300 9200 9500 Intraday Booked at 9400-9410
14/09/2011 Sell Nifty Future Around 4935-4940 4960 4900-4880 Intraday Booked at 4910-4915
14/09/2011 Buy Nifty Future Around 5000-5005 4970 5060 BTST Booked at 5030-5035
15/09/2011 Sell Nifty Future Around 5005-5010 5040 4970 Intraday Target Achieved
15/09/2011 Buy BANKNIFTY Above 9410-9430 9300 9600 Intraday Target Achieved
15/09/2011 Sell Nifty Future Around 5070-5075 5100 5030-5000 STBT Stop Loss
16/09/2011 Sell Nifty Future Around 5135-5140 5165 5090-5060 Intraday 1st Target Achieved
16/09/2011 Buy BANK NIFTY Around 9640-9660 9550 9800 Intraday booked at 9740-9760
16/09/2011 Buy Nifty Future Around 5090-5095 5060 5150-5180 Intraday Booked at 5115-5120
16/09/2011 Buy NIFTY 5100CA Around 88-90 70 120-140 Intraday Stop Loss
19/09/2011 Sell Nifty Future Around 5055-5060 5090 5000-4970 Intraday Book at 5030-5035
19/09/2011 Buy BANKNIFTY Around 9570-9580 9500 9700-9800 Intraday Exit at 9560
20/09/2011 Sell Nifty Future Around 5045-5050 5100 5000 Intraday Exit at 5060-5065
20/09/2011 Buy Nifty Future Around 5060-5065 5040 5090-5120 Intraday 1st Target Achieved
20/09/2011 Sell Nifty Future Around 5090-5095 5120 5040-5000 Intraday Stop Loss
21/09/2011 Buy BANKNIFTY Around 9820-9830 9700 9950-10050 Intraday Booked at 9900
21/09/2011 Sell Nifty Future Around 5155-5160 5190 5130-5090 Intraday 1st Target Achieved
22/09/2011 Sell Nifty Future AROUND 5065-5070 5100 5030-5000 Intraday Both Target Achieved
22/09/2011 Sell Nifty Future AROUND 5035-5040 5070 5010-4980 Intraday Both Target Achieved
23/09/2011 Sell Nifty Future AROUND 4865-4870 4900 4820-4790 Intraday Stop Loss
23/09/2011 Sell BANKNIFTY AROUND 9360-9370 9550 9100 Intraday Exit in Loss at 9400
23/09/2011 Buy NIFTY Future Above 4920 4900 4950 Intraday Stop Loss
26/09/2011 Buy NIFTY 4700PE Above 153 135 190 Intraday Stop Loss
27/09/2011 Sell NIFTY Future below 4920 4940 4885-4855 Intraday Stop Loss
27/09/2011 Buy NIFTY Future Around 4960-4965 4930 5015-5055 Btst Book Profit around 4980
28/09/2011 Sell NIFTY Future Below 4950 4975 4900 Intraday Booked at 4925
29/09/2011 Sell NIFTY Future AROUND 4915-4920 4950 4890-4860 Intraday Stop Loss
29/09/2011 Sell BANK NIFTY AT 9485-9500 9600 9200 Intraday Stop Loss
30/09/2011 Buy NIFTY Future AROUND 4970-4975 4950 5000-5030 Intraday Booked at 5010
Future Package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
02/09/2011 Buy M&M FUTURE AT 744 739 750-754 Intraday Both Target Achieved
02/09/2011 Buy TITAN FUTURE Around 209.50-210 206 216-218 Intraday Book at 210.50
02/09/2011 Buy SBIN FUTURE Above 2015 2000 2040 Intraday Stop Loss
05/09/2011 Buy RELINFRA FUTURE At 452 445 466 Intraday Booked At 459-560
05/09/2011 Buy BAJAJ-AUTO FUTURE 1662 1644 1680-1700 Intraday 1st Target Achieved
07/09/2011 Buy ICICIBANK FUTURE AT 895-896 883 907-920 Intraday Booked at 903
07/09/2011 Buy RELINFRA FUTURE AT 465 459 470-475 Intraday Both Target Achieved
08/09/2011 Buy MAX FUTURE AT 203 199 210 Intraday Target Achieved
08/09/2011 Buy INFY FUTURE AT 2315-2320 2290 2355 Intraday Booked at 2335-2340
09/09/2011 Buy ICICIBANK Future Above 911-912 905 918-925 Intraday Stop Loss
09/09/2011 Sell HEXAWARE Future Around 80-80.50 82 78-76-74 Intraday Booked at 77
12/09/2011 Sell M&M FUTURE AT 787 793 763 Intraday Booked at 780
13/09/2011 Buy BOB FUTURE Around 760-762 752 775 Intraday Stop Loss
14/09/2011 Sell ICICIBANKFUTURE AT 850-852 860 835-825 Intraday Booked at840-842
15/09/2011 Buy JUBLFOOD FUTURE AT 900 892 910-915 Intraday Target Achieved
15/09/2011 Buy CHABALFET FUTURE AT 109.50-110 108 114-117 Intraday Booked at 111.50-112
15/09/2011 Buy INFYFUTURE AT 2335-2340 2300 2400 Intraday Booked at 2360-2365
16/09/2011 Buy AMBUJACEMENT FUTURE AT 148-148.50 146 152-155 Intraday Booked at around 151-151.50
16/09/2011 Buy AREVAT&D Future Above 225 220 236 Intraday Stop Loss
19/09/2011 Sell CARIN Future Around 290.20 292 287.5 Intraday Made low 288.75
19/09/2011 Buy SBIN Future Above 1915 1900 1950 Intraday Exit cost to Cost
20/09/2011 Buy RENUKA FUTURE Around 60.30-60.50 59 63 Intraday Booked at 61.30
20/09/2011 Sell SBIN FUTURE Around 1935-1938 1955 1910-1890 Intraday Stop Loss
21/09/2011 Sell TATAMOTOR FUTURE AT 164 166.3 163.50-160 Intraday Both Target Achieved
21/09/2011 Buy GODREJIND Future Above 207.50 205 212 BTST Booked at 9.50
22/09/2011 Sell ACC FUTURE AT 1068-1070 1080 1057-1047 Intraday Stop Loss
22/09/2011 Sell BHEL FUTURE Around1619-1620 1630 1610-1600 Intraday Both Target Achieved
22/09/2011 Sell ICICIBank Future Around 872-873 888 850-835 Intraday booked at 864-865
23/09/2011 Sell BHARTIAIRTEL FUTURE AT 368 373 360 Intraday Booked at 362
23/09/2011 Sell HINDALCO FUTURE Below 136 138.5 134-130 Intraday 1st Target Achieved
26/09/2011 Sell BPCL Future below 658.70 665 351-646 Intraday 1st Target Achieved
26/09/2011 Sell CAIRN Future Below 269-270 275 264-362 Intraday Both Target Achieved
27/09/2011 Buy YESBANK FUTURE Above 272 268 282 Btst Stop Loss
28/09/2011 Sell AXIS BANK FUTURE AT 1077 1087 1060 Intraday Stop Loss
29/09/2011 Sell ICICIBANKFUTURE AT 865-866 875 850-840 Intraday Booked at 856-858
29/09/2011 Sell FEDERAL BANK FUTURE AT 366 370 362-359 Intraday Target Achieved
30/09/2011 Sell HINDALCO Future Below 132 136 125-122 Intraday Booked at 131.40-131.50
30/09/2011 Buy ICICIBANK FUTURE AT 878 870 890 Intraday Booked at 885
30/09/2011 Buy SBIN FUTURE AT 1935 1920 1960-1970 Intraday Stop Loss
30/09/2011 Sell BIOCON Future Below 340 345 335 Intraday Booked at 335-336
Cash Package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
05/09/2011 Buy ICICIBANK Above 875 866 885 Intraday Target Achieved
05/09/2011 Buy LOVABLE Above 602 597 610 Intraday Stop Loss
05/09/2011 Buy NITINFIRE Above 137.90 134.5 140-144 Intraday Both Target Achieved
07/09/2011 Buy LOVABLE 630-6631 622 638-650 Intraday Stop Loss
07/09/2011 Sell BAJAJ-AUTO Around 1638-1640 1653 1628-1615 Intraday Stop Loss
08/09/2011 Sell TCS AT 1052-1054 1062 1030 Intraday Booke at 1038-1040
09/09/2011 Buy TCS Around 1118-1120 1098 1145-1155 Intraday Booked at 1129
09/09/2011 Sell M&MFIN below 660 666 652-640 Intraday Target Achieved
09/09/2011 Sell TataMotors Below 764 775 735-30 Intraday Exit cost to Cost
12/09/2011 Sell TATACHEM Below 327 331 320 Intraday Exit in Loss at 330
13/09/2011 Sell RELCAP AT 404-405 413 390-380 Intraday Stop Loss
13/09/2011 Buy SIEMENS Around 859-860 852 868-875 Intraday Stop Loss
14/09/2011 Sell ICICIBANK CASH AT 850-852 860 835-825 Intraday Booked at840-842
14/09/2011 Sell SBIN Around 1840 1855 1800 Intraday Booked at 1822
15/09/2011 Sell HCLTECH Below 400 404 396-392 Intraday Both Target Achieved
15/09/2011 Buy INFY CASH & FUTURE AT 2335-2340 2300 2400 Intraday Booked at 2360-2365
16/09/2011 Buy HATHWAY Above 85.60 83.6 88-90 Intraday Move fast
16/09/2011 Buy MARG Above 92 90 94-97 Intraday Buyinig not Initiated
16/09/2011 Buy MAXWELL Above 28 27.5 29.50-31 Short term Made high 30.80
19/09/2011 Buy SBIN Above 1915 1900 1950 Intraday Exit cost to Cost
20/09/2011 Sell ICICIBANK Around 865-868 875 850-840 Intraday Exit cost to Cost
20/09/2011 Buy TTK HEALTH ABOVE 540 532 547-554 Intraday Buying not Initiated
20/09/2011 Sell RELCAPITAL Below 404 412 395-390 Intraday Stop Loss
20/09/2011 Sell SBIN CASH Around 1935-1938 1955 1910-1890 Intraday Stop Loss
21/09/2011 Sell SBIN Below 2007 2022 1990-1977 Intraday Stop Loss
21/09/2011 Buy ARVIND Above 96.50 95 98.5 Intraday Target Achieved
22/09/2011 Buy GRAVITA ABOVE 431 426 435-439 Intraday 1st Target Achieved
22/09/2011 Sell HINDUNILVR Below 336 342 331 Intraday Target Achieved
23/09/2011 Buy A2ZMES Above 219 210 235 Intraday Booked at226
26/09/2011 Sell SIEMENS Below 839 846 826 Intraday Stop Loss
27/09/2011 Buy DELTACORP Above 103.50 101 107 Btst Stop Loss
28/09/2011 Sell JETAIRWAYS Below 260 266 255-249 Intraday Both Target Achieved
28/09/2011 Buy UBHOLDING Cash above 121 119.4 124-128 Intraday Stop Loss
29/09/2011 Sell ICICIBANK CASH AT 865-866 875 850-840 Intraday Booked at 856-858
29/09/2011 Sell ABB BELOW 710 718 700-690 Intraday Selling notInitiated
30/09/2011 Buy JINDALPOLY AT 206.50 203 211 Intraday 1st Target Achieved
Jackpot Package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
05/09/2011 Buy ICICIBANK Above875 866 888 Intraday Book full at 885-886
06/09/2011 Sell ICICIBANK Around 862-860 870 850-844 Intraday Stop Loss
07/09/2011 Sell JUBLIANT FOOD Below 988 1001 976-964 Intraday Both Target Achieved
08/09/2011 Sell TCS AT 1052-1054 1062 1030 Intraday Booke at 1038-1040
09/09/2011 Buy TCS Around 1118-1120 1098 1145-1155 Intraday Booked at 1129
13/09/2011 Sell RELCAP AT 404-405 413 390-380 Intraday Stop Loss
16/09/2011 Buy MARG Above 92 90 94-97 Intraday Buyinig not Initiated
22/09/2011 Buy GRAVITA ABOVE 431 426 435-439 Intraday 1st Target Achieved
26/09/2011 Sell SIEMENS Below 839 846 826 Intraday Stop Loss
27/09/2011 Buy MCDOWELL-N Above 772 762 792 Intraday Booked at 785
Options package
Date Buy/Sell Scrip Name Action Price Stop Loss Target Duration Remark
15/09/2011 Buy NIFTY 5000CA AT 110-115 90 140-160 Intraday Full Booked at 145-150
16/09/2011 Buy SBIN 2000 Above 30 15 60 2-3 day Booked at 55
16/09/2011 Buy NIFTY 5100CA Around 88-90 70 120-140 Intraday Stop Loss
22/09/2011 Buy NIFTY 5100 PE Above 120 112 145-150 2-3 day Both target Achieved
23/09/2011 Buy NIFTY 4900 PE Above 80 70 110-120 1-2 Days Stop Loss

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