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Marketwatch

Reco Price last


187.0
192.0
ATUL.NS
199.8
190.0
GODREJIND.NS
879.0
870.9
ABIRLANUV.NS
302.0
302.0
HINDUJAVE.NS
100.0
90.5
ASCL.BO
42.0
39.4
SMARTLINK.NS
462.0
454.4
HDFCBANK.NS
2040.0
1938.5
SBIN.NS
309.0
320.5
HINDUNILV.NS
93.8
92.8
TATAGLOBA.NS
196.0
201.6
TIMKEN.BO
Current Investment
TotaPortolio
Sensex Short Term Supports at 15400-15800.
Cash Left
Nifty 4600-4700.
Profit Loss
Long Term Retracements 14500/13000 and 4300/3800
Profit/Loss on
Resistance at 16800-17300 and 5050-5200
invested portfolio
ticker

name
ATUL LTD
GODREJ INDUSTRIES
Aditya Birla Nuvo
Hinduja Ventures
ASAHI SONG
Smartlink
HDFC BANK LTD
STATE BANK OF IND
Hindustan Unilever
Tata Global Beverages
Timken India

Qty

Value
Profit/Loss
267
49929.0
1335.0
375
74925.0
-3693.8
85
74715.0
-692.8
166
50132.0
0.0
500
50000.0
-4750.0
1190
49980.0
-3153.5
108
49896.0
-826.2
50 102000.0
-5077.5
162
50058.0
1863.0
1063
99656.3
-1009.9
128
25088.0
716.8
rrent Investment
676379.3
-15288.8
1000000
323620.8
-1.53
ofit/Loss on
-2.26
ested portfolio

Comments
Buy at 187.
Bought at 208/184.5 add rest 25k worth at 175.
Bought at 910/820. Rest quantity to add at 780-765.
Add rest qty at 275.
Rest qty to be added at 85/77 if comes.
Add rest qty 38/35.
Add rest qty at 420/400.
Buying Complete
Hold No more addition.
Buying Complete. Reduce 25% qty at 95.
Add rest at 184/170 if comes
We will review the stocks whenever they move up
10-15% from the lows or average price to reduce.
The stock portfolio is with a medium to long term view

1
gtrtd.rtd
yahoo
::
name
ATUL Limited
NASDAQ
SP500
10YR BOND
FTSE
DAX
CAC40
NIKKEI
HANG SANG
SINGAPORE
DOW Futures
NASDAQ Futures
SP500 Futures

Date
Time
symbol
ATUL.NS
^IXIC
^GSPC
^TNX
^FTSE
^GDAXI
^FCHI
^N225
^HSI
^STI
DJQ16.CBT
NQQ16.CME
SPQ16.CME

1 ATUL.NS
1 GODREJIND.NS
1 ABIRLANUV.NS
1 HINDUJAVE.NS
1 ASCL.BO
1 SMARTLINK.NS
1 HDFCBANK.NS
1 SBIN.NS
1 HINDUNILV.NS
1 TATAGLOBA.NS

TIMKEN.BO

1
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8/28/2016

last-trade-price
192.00
2479.85
1176.80
2.19
5129.92
5608.59
3130.22
8851.35
19853.83
2792.59
#NAME?
#NAME?
#NAME?

change-rt
change-%
perc change
6.70 +3.62%
3.62
0.00 0.00%
0.00
0.00 0.00%
0.00
0.00 0.00%
0.00
-1.18 -0.02%
-0.02
71.11 +1.28%
1.28
42.58 +1.38%
1.38
53.57 +0.61%
0.61
270.95 +1.38%
1.38
44.41 +1.62%
1.62
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?
#NAME?

name
last-trade-pric change-rt
change-%
ATUL LTD
192.00
6.70 +3.62%
GODREJ INDUSTRIES
189.95
8.45 +4.66%
ABG Shipyard Limi
870.85
46.05 +5.58%
#NAME?
302.00
2.85 +0.95%
ASAHI SONG
90.50
2.70 +3.08%
#NAME?
39.35
0.10 +0.25%
HDFC BANK LTD
454.35
15.40 +3.51%
STATE BANK OF IND
1938.45
50.60 +2.68%
#NAME?
320.50
0.85 +0.27%
#NAME?
92.80
3.45 +3.86%
TIMKEN
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201.60
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5.80 +2.96%
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Month
Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec

Symbol
F
G
H
J
K
M
N
Q
U
V
X
Z

http://finance.yahoo.com/indices?e=futures
perc change last-trade-timebid-rt
ask-rt
previous-close open
volume
3.62 3:35am
191.90
192.00
185.30
188.00
10504.00
4.66 3:36am
189.85
190.00
181.50
182.70
349673.00
5.58 3:36am
870.50
870.85
824.80
854.95
127747.00
0.95 3:34am
301.65
302.95
299.15
299.05
1017.00
3.08 3:39am
90.10
90.50
87.80
87.80
3035.00
0.25 3:32am
39.30
39.50
39.25
38.65
2061.00
3.51 3:36am
454.35
454.40
438.95
444.50 1623958.00
2.68 3:36am
1938.40 1938.45
1887.85
1925.00 1367953.00
0.27 3:36am
320.45
320.65
319.65
320.00 1930182.00
3.86 3:36am
92.80
92.85
89.35
90.95
952183.00
2.96 3:37am
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201.60
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202.45
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195.80
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198.00
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16242.00
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name
Carborundum Universal
Divis Labs
Garware Wall Ropes
Vivimed Labs
GEI Inds
Godrej Inds
Sterlite Tech
Kirloskar Brothers
First Leasing
BOC India
Aditya Birla Nuvo
ITC
Smartlink Networks
NESCO
KPIT
Raymond
VST Inds
Apollo Hospitals
Piramal Glass
Clariant Chemicals
Tube Investments
Tide Water

Buy around Target Conviction


NA
NA
NA
750-720
950.0 High
53-57
72.0 Medium
260-250
320.0 Medium
NA
180-200 Medium
190-205
300.0 High
NA
NA
NA
NA
NA
NA
75.0
90.0 High
280-250
350.0 High
850.0 1100.0 High
NA
NA
NA
40-44
60.0 High
540-560
700.0 Medium
NA
NA
NA
350-380
450.0 Medium
NA
NA
NA
505-510
550.0 Medium
134.0
165.0 Medium
680-700
850.0 Medium
NA
NA
NA
NA
NA
NA

Comments
Target Achieved no fresh view
Maintain hold if added at higher levels also
Defensive Value bet maintain hold will reduce at higher levels
The stock did move to 320 recently. Long term hold stoploss 240
The stock has corrected a lot. Look to shift whenever it rises to 180-200
Remains the top long term pick with a target price of 235/300 in long term
Was advised to exit at 54 levels. If holding wait for bounce to 48-50 to exit
Target Achieved no fresh view
Earlier profits were booked at 95-100. Can buy around 75 or lower.
Strong defensive stock may get delisted in next 6-12 months at 400 +.
After partial booking at 950-960 can re-enter on dips with long term view
Target Achieved no fresh view
Stock is available at less then cash on book. Good margin of safety.BUY
Earlier gave good profits. Value stock buy on dips with long term view
Target of 190-200 was achieved can now buy with 158 sl and tgt 195 again
Hold for medium term. Revise stoploss to 330.
Gave good move from 930 to 1200+
Maintain hold for medium term
Stock is 3.5 rs ex div. Remains a good bet with 120 stoploss and buy on dips
After a move from 770 to 850 where partial booking was advised. Re-enter on dips
Target Achieved no fresh view
Stoploss hit