Query @ Anid_007

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#81
Hi Anid,
you gave a call on Redington @ 309. I bought 200 of it @ 315 . Today it hit a 52 week high of 352 and closed at 348. Should I keep on holding or book profit?

One more query, about your yesterday's call on Raymond @ 347. It reached a high of 374.90 today, and closed at 356. I think I missed the bus. Do u suggest enter the stock at this level or below 360?

Nice to know that you are running profit in Redington. Its a hold as of now.

For Raymond, I really doubt if you will able to get this stock below 360 tomorrow. If you can buy around 360, hold it with stoploss of 345 for target of 440 in ST.
 
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Reji

Active Member
#83
Good Evening Anid:)

Thank you for your quick response for my previous query. Any idea about IDEA? I BOUGHT 250 Nos. @ 117 about 6 months back. But it has been ranging between 115 to 130 since May, whereas RCOM and BHARTIAIRTL seems to be very aggressive. Is it worth to hold this scrip?

Thank you

Reji
 

saif

New Member
#84
Hi Anid,

I bought
Global Vectra @ 205.00. Now its at 176.00
&
Any view on Rei Agro & Tanla Sol....should I book profit now.

What do you say?

Thanks in Advance.
 
#85
Dear Anid,
Very good keep it up this is first time I have came across who shares ones knowledge.I m
new to this and would like your long term views on TRITON VALVE and ADORFONTECH
i am holding 10 share of Triton and 50 shares of Ador Fontech. I am not testing your knowledge but shall I keep it or get out of those?? Thanks in advance.
 
#86
Hi Anid

First off, thank you for sharing your knowledge with the group and thank you very much for any help you may be providing me in future.

I am not very regular with stock trading, once in a while I will read something abt stocks somewhere and I will get all fired up and go buy a few stocks. After that I will go into hybernation for a few months until the next bolt of excitement hits me. Following is the portfolio I have built like this. I would appreciate if you could let me know what to keep and what to get rid of. I usually go for MT to LT positions depending on when I pay attention to my portfolio.

BHAFOR entered at 310.19
MARUTI entered at 709.82
HDFC entered at 1,050.27
BHEL entered at 1,943.15
IFLEX entered at 1,000.60
INFTEC entered at 2,961.95
REIAGR entered at 121.18
ONGC enteredt at 1,093.86
PETLNG entered at 42.94

I think I bought Infosys at its peak and it never touched that level again.
So what say you.

Thanks again
rsk
 
#87
Good Evening Anid:)

Thank you for your quick response for my previous query. Any idea about IDEA? I BOUGHT 250 Nos. @ 117 about 6 months back. But it has been ranging between 115 to 130 since May, whereas RCOM and BHARTIAIRTL seems to be very aggressive. Is it worth to hold this scrip?

Thank you

Reji

Great Buy !!! Don't ever think about selling this scrip even if goes to 100 level, when market corrects.

I see its doubling up in next 6 months. Buy more whenever market corrects.

MT 250 by April 08 end

LT Sky is the limit. well a realistic project for 1 year time will be 450-520 by Dec 08 End
 
#88
Hi Anid,

I bought
Global Vectra @ 205.00. Now its at 176.00
&
Any view on Rei Agro & Tanla Sol....should I book profit now.

What do you say?

Thanks in Advance.
Global Vectra has done well in recent past. I don't see any danger in staying invested in this stocks. Keep a watch on the result of this quarterly result this month. Technical Chart suggesting a sharp price change in recent time. Its a Hold. if it goes below 150, buy more.


Let me know wts your buying price and quantity in Rei Agro and Tanla. Only then I can tell something.
 
#89
Dear Anid,
Very good keep it up this is first time I have came across who shares ones knowledge.I m
new to this and would like your long term views on TRITON VALVE and ADORFONTECH
i am holding 10 share of Triton and 50 shares of Ador Fontech. I am not testing your knowledge but shall I keep it or get out of those?? Thanks in advance.
It would have been easier for me to read the scrip if you would have told me ur buying price.

Triton is doing good on paper. A/D in Technical chart suggests a pause in recent uptrend and beginning of a downtrend on selling pressure.

you can keep a stop loss at 1100. if it breaches that level you may quit. If you are running in profit, book profit and enter again when market corrects.

Not tracking the Ador.
 
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#90
Hi Anid

First off, thank you for sharing your knowledge with the group and thank you very much for any help you may be providing me in future.

I am not very regular with stock trading, once in a while I will read something abt stocks somewhere and I will get all fired up and go buy a few stocks. After that I will go into hybernation for a few months until the next bolt of excitement hits me. Following is the portfolio I have built like this. I would appreciate if you could let me know what to keep and what to get rid of. I usually go for MT to LT positions depending on when I pay attention to my portfolio.

BHAFOR entered at 310.19
MARUTI entered at 709.82
HDFC entered at 1,050.27
BHEL entered at 1,943.15
IFLEX entered at 1,000.60
INFTEC entered at 2,961.95
REIAGR entered at 121.18
ONGC enteredt at 1,093.86
PETLNG entered at 42.94

I think I bought Infosys at its peak and it never touched that level again.
So what say you.

Thanks again
rsk

Dear RSK,

Do u know people with your kind of temperament make most of the profits from share market :)

If you track share daily you will see a uptrend and sell it. later you find its going further high and then regret your step. Wtever you r doing is right, just keep your timing of entering and exiting the market correct.


Coming to your scrips:

BHAFOR :

MT target 410-440 by Jan 08 End

MARUTI:

You can book profit by Oct07 End re-enter when market corrects

StopLoss: 880


PETLNG:

Book Profit at 100

Stoploss 75

I am stopping here. Actually now I am in office. Need to start my work. You will see my rest of answers in next post.

Happy Earning :) keep it up.
 
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