Hi Savant Sir
I have the following portfolio. Could you please have a look and let me know as to what i should sell/ hold/ buy more. I have also attached a screenshot of the same.
Symbol Qty Cost Price Current Price Market Price Profit/Loss Profit/Loss %
AMTAUT 35 228.91 179.9 6296.5 -1715.35 -21.41
MARUTI 10 1,688.08 1381.45 13814.5 -3066.3 -18.16
ANDBAN 100 163.11 167.2 16720 409 2.51
BANMAH 100 72.45 70 7000 -245 -3.38
CANBAN 65 555.95 575 37375 1238.25 3.43
DENBAN 125 111.43 112.65 14081.25 152.5 1.09
INDIBA 40 248.27 267.55 10702 771.2 7.77
KOTMAH 100 487.39 475.6 47560 -1179 -2.42
SYNBN 50 111.03 115.7 5785 233.5 4.21
YESBAN 40 332.57 331.5 13260 -42.8 -0.32
UNITEC 50 82.59 88 4400 270.5 6.55
HINLEV 30 282.46 287.65 8629.5 155.7 1.84
HINDAL 25 201.58 188.9 4722.5 -317 -6.29
CIPLA 25 352.59 313 7825 -989.75 -11.23
ORCCHE 100 166.69 209.5 20950 4281 25.68
CESC 40 402.15 417.65 16706 620 3.85
BALCHI 100 154.99 89.5 8950 -6549 -42.25
MTNL 20 182.02 64.7 1294 -2346.4 -64.45
Thanks
Dhiman