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Market Outlook - Short Term

 

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23 Nov 2009 21:32

Hi Guest,

Corrections are part and parcel of the market. Nifty may drop to 4500 again sometime in 2010 but it will rise to test the resistance in the range of 6300-6400 first....

23 Nov 2009 21:30

Hi Hansal,

Thanks for your message. I wish to confirm that market is in full blown bull phase now. However I am unable to understand why should I try to trap anybody...

23 Nov 2009 20:52

Of course. This has been reflected in the thinking of London buyers of GDRs of RIL.

I expect a very positive outlook for Reliance tomorrow (24th). And when RIL goes up, others too follow....

23 Nov 2009 20:47

As per the industry body, total renewal premiums for regular Unit Linked Insurance Plans (ULIPs) witnessed a growth of 40 per cent in April-September period at Rs 25,950 crore compared with Rs 18,506 crore in the same period last fiscal.

New business premium increased by 13 per cent to Rs 38,985 crore from Rs 34,529 crore for the corresponding period in 2008-09, it said.

In the first half, total benefit paid to policyholders stood at Rs 28,373 crore as against Rs 23,070 crore, up 23 per cent, the council said....

23 Nov 2009 19:18

You may not get this level of prices in future and any aggressive selling can make you go broke!...

23 Nov 2009 19:17

Real Bull Phase has just started and there is a feeling that markets are fully priced. India is entering Bull Phase just now and real upside is started. Donot miss this Great opportunity of Buying at Current level as you may never get it back for rest of life. Sharp corrections which happened in 2008 actually happened after 1991 and at much higher level. Next Big correction may happen in by 2030 and at much higher level. Nobody else is effected except you if you exit now or miss buying opportunity.
98% of Nifty stocks are at less than 10% of replacement value indicating that if you have to start same company today with same size it may take 10 times more money than the market cap today!

...

23 Nov 2009 18:50

See who sold from 5180 Nifty to 4550 levels? MS, CS, CLSA and Citi were among the bigger sellers during that time. CLSA clarified they are switching some of the EM funds from India to China. Subsequently who were the buyers during last week? DIIs were net sellers for 4 of the 5 days. FIIs do trade and generate a lot of revenue. FIIs anyway is not a single entity - there are a whole different types of funds. They seem to have some synchronization, which may be a mere coincidence! ...

23 Nov 2009 18:07

This is all huffing and puffing signifying nothing. Since there is some one on the other side of each trade, merely claiming only FII did this or that is stoooopid and obviously ill informed....

23 Nov 2009 17:39

This is true in stock futures also. The F&O buildup is difficult to guess. The CoC may stay positive and analysts will say long buildups seen, suddenly the price will fall with lesser volume in cash segment first. Only later we will realize that massive shorts were created and price will fall. eg. KFA last month. ...

23 Nov 2009 17:05

Mr Udayan..this is a thanksgiving week in the usa...mkts are consolidating....s&p holding around 1092......bulls are dealing with consolidating and after they digest thanksgiving turkey...they will take dow to 11 k bi December 15 as Mr Bubba told me.....lol..Santa will b happy like that.

...

23 Nov 2009 14:35

RIL post Lyondell Basell acquisition will be much better company with globla foot print. this takeover will put RIL into top 5 petrochem company. further its Refinery, Gas & Oil production will also add to company`s performance.
With regard to dispute with NTPC & ADAG Group it seems company is like to be winner because the family MOU is unlikely have any value because company is diffrent from person which is basic rule. post acquisition the company will be a billion company and the fair value post bonus issue will be 1700/-. futher since After merger of RPL & start of Gas production will add to topline about 60000crores so lower margin of GRM will be offset by the new capacity.
As we know that the Ambani Group has sucessfully managed all majore projects so the acquisition of the Bankkrupt Lyondell Basell will boost the profitability of the company.
Investor should accumulate RIL shares on SIP basis so that even if the price come down Average cost of acquisition will also come down but with horizon of 1 year & above post bonus issue it will cross 2000/- per share.
One of key concern is that mobilisation of funds because the interest rate are on higher stage. the valuation is likely at Billion finally.
From- ...

23 Nov 2009 14:06

KERALA AYURVEDA LTD, BSE stock , buy for longterm,, promoted by former PEPSICO ASIA pacific head,, they want to be the pioneers of ayurveda globally...

23 Nov 2009 12:51

Premium in nifty future - FII dumping nifty stocks and buying nifty future

Discount in nifty future - FII buying nifty stocks and selling nifty future...

23 Nov 2009 12:28

Now after today break out exit short position and buy Nifty.
Book loss in Nifty Dec-09 5000 put Loss of Rs.14 per lot...

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