Stocks To Keep A Close Eye On

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Sir
i have placed orders for the options
I give below my holdings out of which SRF, SBT and Punjlloyd sold today
Holdings, apart from this I have 900 RENUKA @ 104
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Total Holdings Value : 204,830.00
Scrip Code Symbol 5 Qty Used Qty T1 Holdings Collateral Qty LTP LTP VALUE
Action
519281 AGRODUT 1000 0 0 1000 15.45 15,450.00
521070 ALOIND 2000 0 0 2000 25.15 50,300.00
500101 ARVLTD 2000 0 0 2000 55.40 110,800.00
532693 PUNLLO 500 500 0 500 107.95 0.00
507446 SIMSUG 100 0 0 100 43.40 4,340.00
503806 SRFLTD 300 300 0 300 336.00 0.00
532191 STATRA 10 10 0 10 791.15 0.00
522029 WINMAC 300 0 0 300 79.80 23,940.00


Kumaran
 
Sir
My Limit statement

LIMITS DETAILS
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MARGIN AVAILABLE MARGIN UTILISED
Cash Margin Available -31,879.86 Turnover / Multiplier 0.00 / 1.00
Collateral Value 75,480.00 Gross Exposure / Multiplier 0.00 / 1.00
Direct Collateral Value 0.00 ELM 0.00
Adhoc Margin 0.00 Value In Del -162,229.60
Branch Adhoc 0.00 Var Margin 0.00
Pay in Amount 0.00 Span Margin 0.00
Notional Cash 0.00 Adhoc Scrip Margin 0.00
Scrip Basket Margin 154,915.30
Exposure Margin 0.00
Premium Present 0.00
Realized MTM Value 0.00
Unrealized MTM Value 45,234.35
Sub Total 37,920.06
Pay out Amount 0.00
IPO Amount 0.00
MF Amount 0.00
Credit 43,600.14 Debit 37,920.06
NET :: 5,680.08
 

EagleOne

Well-Known Member
Houston, this is Eagle one.
Dumped the stalled Reliance CA @37.85 in the Atlantic.
Waiting to acquire a fresh one.
 

EagleOne

Well-Known Member
EagleOne this is DeltaOne. I have taken off at NG68. Target of NG90.35 still a go? :)
Copy that, Delta One.
If you can have a nap for a day or two, it could be 125
 
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