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WEEK 16 2015 Weekly global newsletter Published on 12 April 2015

Hi all
We have changed our newsletter as one of our clients has asked it
this way. We have tried to make it as simple as possible just levels
Expected trend & Probable reversal dates if any (in INDIAN
STANDARD TIME). Please do read the RISK DISCLOSURE before
investing on Page # 03 of this document.
We earnestly wish we all flourish together. Wish you all prosperous trading.
NIFTY
Risk Buy 8723.42 Safe Buy 8813.72 Stop Loss 8750.61 Early Exit 8827.27 Safe Exit 8858.30 Risk Exit
8967.37
Risk Sell 8858.87 Safe Sell 8768.57 Stop Loss 8840.91 Early Exit 8727.32 Safe Exit 8571.14 Risk Exit
8462.07
EXPECTED TREND

UP

RR RATIO 1:0.51

PROBABLE REVERSAL DATE & TIME IF ANY:

---

FEDERAL BANK
Risk Buy 127.2 Safe Buy 131.3 Stop Loss 127.95 Early Exit 133.41 Safe Exit 135.55 Risk Exit 138.70
Risk Sell 133.35 Safe Sell 129.25 Stop Loss 132.05 Early Exit 128.78 Safe Exit 127.19 Risk Exit 124.04
EXPECTED TREND

DN

RR RATIO

PROBABLE REVERSAL DATE & TIME IF ANY:

1:4.33
4/17/15 9:34 AM

DJI
Risk Buy 17818.55 Safe Buy 18062.2 Stop Loss 17898.25 Early Exit 18080.19 Safe Exit 18136.35 Risk Exit
18348.82
Risk Sell 18184.02 Safe Sell 17940.37 Stop Loss 18141.9 Early Exit 17809.65 Safe Exit 17577.20 Risk Exit
17364.73
EXPECTED TREND

UP

RR RATIO

PROBABLE REVERSAL DATE & TIME IF ANY:

1:0.5
4/13/15 9:33 AM

4/15/15 10:07 PM

Please read RISK DISCLOSURE before investing on page # 03

WEEKLY STOCK PICK

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E mail us @ economicnerd@gmail.com

WEEK 16 2015 Weekly global newsletter Published on 12 April 2015


EURUSD
Risk Buy 1.0475 Safe Buy 1.0694 Stop Loss 1.0517 Early Exit 1.0799 Safe Exit 1.1118 Risk Exit 1.1357
Risk Sell 1.0803 Safe Sell 1.0584 Stop Loss 1.0736 Early Exit 1.0554 Safe Exit 1.0484 Risk Exit 1.0245
EXPECTED TREND

DN

RR RATIO 1:1.8

PROBABLE REVERSAL DATE & TIME IF ANY:

4/15/15 4:12 PM 4/16/15 2:39 AM 4/17/15 12:40 AM

GBPJPY
Risk Buy 173.85 Safe Buy 177.23 Stop Loss 174.41 Early Exit 179.12 Safe Exit 179.91 Risk Exit 181.80
Risk Sell 178.92 Safe Sell 175.54 Stop Loss 177.79 Early Exit 175.34 Safe Exit 174.92 Risk Exit 173.03
EXPECTED TREND

DN

RRRATIO

1:1.3

PROBABLE REVERSAL DATE & TIME IF ANY: 4/16/15 4:40 AM

USDCHF

Risk Sell 0.9894 Safe Sell 0.9732 Stop Loss 0.9859 Early Exit 0.9664 Safe Exit 0.9419 Risk Exit 0.9238
EXPECTED TREND

UP

RR RATIO 1:0.6

PROBABLE REVERSAL DATE & TIME IF ANY: 4/13/15 9:51 PM


4/16/15 4:42 PM
4/17/15 8:53 AM

4/14/15 3:53 PM 4/16/15 12:30 AM

CRUDE
Risk Buy 49.92 Safe Buy 51.89 Stop Loss 50.52 Early Exit 52.20 Safe Exit 55.04 Risk Exit 57.43
Risk Sell 52.88 Safe Sell 50.91 Stop Loss 52.49 Early Exit 49.95 Safe Exit 48.62 Risk Exit 46.23
EXPECTED TREND

UP

RR RATIO 1:1.9

PROBABLE REVERSAL DATE & TIME IF ANY:


4/13/15 7:59 AM
4/15/15 4:10 AM
4/16/15 2:06 AM
4/17/15 12:01 AM
4/17/15 9:56 PM

Please read RISK DISCLOSURE before investing on page # 03

Risk Buy 0.9651 Safe Buy 0.9813 Stop Loss 0.9697 Early Exit 0.9845 Safe Exit 0.9897 Risk Exit 1.0078

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E mail us @ economicnerd@gmail.com

WEEK 16 2015 Weekly global newsletter Published on 12 April 2015

Risk Disclosure
Futures and options trading have large potential rewards, but also large potential risk.
You must be aware of the risks and be willing to accept them in order to invest in the
futures and options markets.
Trade with risk capital only. The past performance of any trading strategy or methodology
is not necessarily indicative of future results. Past performance is no guarantee of future
results and should not be interpreted as a forecast of future performance.
We make no promise as to the performance of the account and while the investment
objective is major capital appreciation over time no representation is being made or
implied that any account will or is likely to achieve profit.
The value of your investments can decrease as well as increase and, as such, funds
invested should constitute risk capital. The risk of loss in trading commodities and options
can be substantial. You should therefore carefully consider whether such trading is
suitable for you in light of your financial condition.

against you as well as for you. The use of leverage can lead to large losses as well as
gains. You should carefully consider whether your financial condition permits you to
participate in futures trading. In so doing, you should be aware that futures and options
trading can quickly lead to large losses as well as gains.
Such trading losses can sharply reduce the value of your investment. All information
provided on these pages is for fair use.

Normal copyright protections apply to all commercial use of any


documents or information. Economicnerd.blogspot.in (OR)
economicnerd@gmail.com or any people associated with it are not
responsible for any loss due to inaccuracies in the information
provided. Nothing presented here should be construed as
investment advice or recommendations.

Please read RISK DISCLOSURE before investing on page # 03

The high degree of leverage that is often obtainable in commodity trading can work

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E mail us @ economicnerd@gmail.com

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