~~~~~~~~~~~~~~~~~~~~~~~~~~~
-->>:: Script is traded in both Nse and Bse
-->>:: Nse Code - Praeng :: Bse Code - Prajay Eng [531746]
-->>:: Face Value : 10rs.
Current market price (CMP) : 19.9
BUY Around 14 -- 18
TARGET ---->> 34 / 52 / 68 ++
TIME FRAME --->> 1-3-5 YEARS !
RETURN EXPECTED ---->> 100% -- 300% --- 500% !!!!!!
=========================
BUY GEOJIT FINANCIAL SERVICES @ 24 / 21 / 18 (IN 3 PARTS )
CMP:25
SL --->> 15 ( LONG TERM INVESTOR MORE THAN 2 YEARS )
TARGET --->> 42 / 61 (1-2 Years)
RETURN EXPECTED --->> 100 -- 200 % RETURN EXPECTED !!! !! !!
=============================
BUY KARUTURU GLOBAL LTD.
CMP: 8.9
BUY AROUND 7 -- 8.9
SL --->> 6
TARGET --->> 12.5 / 15 / 21 / 30 ( Long Term)
---->> REMEMBER ::--- This is Operator Stock and Run By An Famous Ahmadabad based Operator. So,Its High Risk -- High Return Stock. Invest Small Amount !!!
=========================
BUY TANLA SOLUTION
~~~~~~~~~~~~~~~~~
RECOMMENDED LEVELS @ 46 / 41 / 34
SL --- >> 31
TARGET ---->> 76 / 102 / 138 / 166 / 202
TIME-FRAME ( 2-5 YEARS )
---->> ACCUMULATE 25% @ EVERY 10% FALL !!!
=============================
BUY CAIRNS INDIA
~~~~~~~~~~~~~~
RECOMMENDED LEVELS @ 190 / 165 / 148
SL --->> 135
TARGET --->> 260 / 288 / 338 / 372 / 412
TIME FRAME ( 1-3 YEARS )
----->> ACCUMULATE 25% ON EVERY 10% FALL !
===================================
BUY ASIAN ELECTRONICS
~~~~~~~~~~~~~~~~~~
-->>:: Script is traded in both Nse and Bse
RECOMMENDED ENTRY LEVEL :--> 17 -- 25 !
STRICT SL --->> 15
TARGET ---->> 41 / 55 / 70 / 83
TIME FRAME ---->> 2-3 YEARS ++
EXPECTED RETURN ---->> 200% --- 400%
===============================
BUY BALAJI TELEFILMS
~~~~~~~~~~~~~~~~
: Script is traded in both Nse and Bse
BUY @ 25 -- 38
SL --->> 23.5
TARGET --->> 51 / 60
RETURN EXPECTED ---->> 100 % -- 200%
TIME FRAME --->> 1-2 YEARS !
======================================
BUY BOMBAY DYING ON DECLINE ..........
CMP: 192
BUY @ 160 / 143 / 121 / 110
TARGET ---->> 324 / 440 / 568 (3-5 YEARS)
RETURN EXPECTED --->> 200 % -- 500 % (3-5 YEARS)
=========================
++ve for Both !
I purchased Both,Some Quantity @ Panic Lows in Oct.
Buy Tata Motors @ 143/ 131 / 118 in 3 Parts.
Tata Steel Buy @ 167 / 150 / 134 / 118 in 4 Parts...
Whatever Levels Come.
For Med. to Long term !!
=========================
Vikas bhai need help
Share no of Stocks rate
==== ==== ====
Cairn India 20 157.45
Gammon India 160 200.67
GMR Infra 150 103.7
Guj Mineral 110 221.18
IDFC 1 30 100.65are a
Moser Baer 198 95.28
SATYAM 56 367.59
SAIL 250 114.55
Sterlite Ind 20 580
Suzlon Energy 150 95
here is my portfolio, can u plz advice me which of these are good stocks to hold or average & which of these are weak & better to sell on any rally.
about GMDC i had huge loss in this stock, they told abt bonus but nothing as such credited to my trading account. advice
========================================
Most of Your Stocks are High Beta Stocks. Good Stocks @ Wrong Time. Better Change to better blue-chips and Defensive Stocks.
Better Buy few Blue-Chips like.....RIL / Rel. Com / L&T / Tata Motors / Tata Steel / Bharti/cairns india etc.
And Few Defensive Stocks like .... Cadila Heathcare , Asian Paints, Gillette , Sun Pharma , Divis'Lab,etc.
Convert Now !!!
```````````````````````````````````````````````````````
Buy Top 10 Nifty/Bse 100 Stocks Only Right Now !
RIL / TATA STEEL / TATA MOTORS / REL. COM / BHARTI AIRTEL / POWERGRID / NTPC / L&T / BHEL / INFY.
~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~
And Then Buy ( Depends on Your cash)
Few Mid/Small Caps with Great Futures like :
======================================
3i Infotech / Bartronics India / Hanunag Toys & Textiles / Bharti Shipyards / Nitin Fire / Indraprashtha Gas / HCC / Gitanjali Gems / Sintex Industries / VOLTAS . PRAJ / SUZLON /NOIDA/PRAJAY/ABG / OPTO CIRCUITS / NDTV / So Many.
Buy in 3-4 Parts. 25% Now...Then More on Dips ( Not on Highs ) and Hold for 3 years + !! !! !! !! !!
````````````````````````````````````````````````````````````````
GVKPOWER & INFRA 1,000 @ 10.8
DISHTV 1,000 @ 12.5
ZEE NEWS 500 @ 31.6
HANUNAG TOYS & TEXTILES 300 @ 60
HCC 500 @ 33.5
NOIDA TOLL BRIDGE 500 @19
3I INFOTECH 400@ 40.2
BARTRONICS INDIA 300@79
ALSO, ADDED ( LARGE CAPS)
--------------------------------------
GILLETTE 25 @ 550
CADILA HEALTHCARE 50@245
REL. COM 50 @ 174
POWERGRID 200 @ 54
RIL 20@ 986
TATA MOTORS 100@137
Don't Go With Sectors......Go With Specific Scrips.
Logistic / Shipping / Eng. / Power /etc looks Good (3-5 years)
===========================================
Santosh Kumar
Did some shopping yday !
Unitech @ 29
Tisco @ 176
Suzlon energy @ 55
Rpl @ 76
Bharati shipyard @ 72
Abg shipyard @ 144
Sbi @ 1155
Icici bank @ 335
Kotak bank @ 310
I am building my portfolio 4 long term .. I am greedy now .. I am looking @ whoofing retunrs my portolio can give me once mkt recovers and reaches new highs ..
To vikash bhai .. u have'nt replied to my prev post !
========================================
You Are making an Awesome Portfolio with Great prices with lots of Discipline . No 2nd Thought

All Stocks are good as per Price.
Convert Kotak Bank into Axis bank.
Rest is Fine.
You Will Get an Extraordinary return in Long Term, Thanks to ur Patience & Discpline. God Bless you.
================
IMP. SECTORS :
Power
Steel
Oil
Reality
Engineering
infra
pharma
telecommunication !!
logistics and shipping !!
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