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Market Strategy - Day Trading
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SGX NIFTY -108 points. ...
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The US market ended in red inspite of the
bail out plan and the Asian markets are trading in red.So gap down opening is expected today...
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USA slumped even after the Bailout passed by the House of Rep.
USA economic numbers are reflecting a slow down, and earnings might be playing a big role going forward as the New accounting rules propsed to prop up the financials.
ASIA sliding faster, Nikkei at 4 year low today, and in the morning No bidders for the Banking stocks, only sellers were available ( NIKKEI ).
NIFTY at it`s Last support Known, and it has already tested thrice, will it hold 3700 this time, If we gap down , will the gap filled up as it did couple times...!!!
In my view Markets will try and find support at 3500 in this week....
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it may be your luck on which you are riding, but i am saying about lakhs of people who are investers. tell me one thing...if anyone had bought reliance at 3290/- what he should do...dont think about me..i am safe...but those people who are investers ....about those who had bought aban offshore @5000/-...will they get this rates in future...never....or may be after 10years..remember about some stocks which are still nowhere....only some stocks which are now in A group..why...authorities wants to tell all of you that these are blue chips...what about HFCL, it was also bluechip..when it was in A group...
today you are thinking that you are a good invester bcoz...you had been regularly making profit due to your luck or may be bcoz of any assistance...but this is a dangerouse market to trade... so i request all new investers through these guys,who are prolific boarders....to stay away from the market..otherwise you all will be ruined.
thanks...with regards...
In reply to:
NF 3884
Posted by :
flashstock05
(Sept.29)
High risk takers Once again short nifty fut. below 3880 tgt 3840 sl 3894 regards flashstock05
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The US market did not act favourably to the bailout plan and the Asian markets are trading in red. The only redeeming factor for our market is NUKE deal but
our fingers are crossed over the movement...
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Wall St falls to session lows, Nasdaq off 4 pct.
NEW YORK (Reuters) - U.S. stocks extended losses on Thursday as tight credit markets and a spate of bleak economic data left investors even more anxious about the economy\\\\\\`s health a day before release of the crucial payrolls report.
The Nasdaq shed 4 percent as investors also fretted about the fate of a 0 billion financial rescue package that was passed by the Senate on Wednesday, but still must win approval from the House.
The House voted down an earlier version of the bill on Monday, leading to the worst stock sell-off since just after the 1987 market crash.
Earlier, data showing a rise in the number of Americans filing claims for first-time jobless benefits and a sharp drop in factory orders added to the negative tone.
The Dow Jones industrial average was down 328.15 points, or 3.03 percent, at 10,502.92. The Standard & Poor\\\\\\`s 500 Index was down 42.92 points, or 3.70 percent, at 1,118.14. The Nasdaq Composite Index was down 84.73 points, or 4.09 percent, at 1,984.67
v.krishnamoorthy...
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Gold falls 5% after Senate approves bailout plan
By Moming Zhou, MarketWatch
Last update: 11:59 a.m. EDT Oct. 2, 2008Comments: 107NEW YORK (MarketWatch) - Gold futures fell more than 5% Thursday to their lowest level in two weeks, as the U.S. Senate's approval of a revised $700 billion bailout plan boosted the dollar, reducing dollar-denominated prices of the precious metal.
Gold's losses followed broad declines in precious metals and other commodities. Silver plunged 11%.
Gold for December delivery lost $49.30, or 5.6%, to $838 an ounce on the Comex division of the New York Mercantile Exchange. It fell to $833.50 earlier, the lowest since Sept. 17.
...
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KFactor,
Nifty may gain 127 points on Friday.
What will be the long term impact of this package?? Time will tell. I do not guess. It may be too early!!!!!!But, FRIDAY , RALLY OF 127 POINT IS SURE!!!!!!!!!!!!!!!!!!!!!!
Salient Points of the BILL :
Require the Treasury Department to guarantee, at up to 100 percent, bank losses resulting from failed mortgage-backed securities originated prior to the plan's enactment. Such insurance, supporters say, would provide immediate value to the securities and a foundation for which they could then be sold. The Treasury Department would finance that insurance by assessing a premium on outstanding mortgage-backed securities.
Allow companies to carry back losses arising in tax years ending in 2007, 2008, or 2009 back five years, generating a tax refund and immediate capital
Allow a "repatriation window" for profits earned by U.S. firms overseas. Such repatriation amounts would not be taxed if invested in distressed debt (as defined by Treasury) for at least one year
Allow banks to treat losses on shares of preferred stock in Fannie Mae and Freddie Mac as ordinary losses, not as capital losses
Suspend the capital gains tax rate for two years
Limit backing of high-risk loans by Fannie Mae and Freddie Mac
Schedule Fannie and Freddie for privatization
Suspend "mark-to-market" accounting until the SEC can issue new guidelines that will allow firms to mark these assets to their true economic value.
Stabilize the dollar by repealing the Humphrey-Hawkins Full Employment Act, which alternative bailout supporters say diverts the Federal Reserve's attention from long-term price stability to short-term economic growth
Require the Treasury to write rules prohibiting excessive compensation or golden parachutes to executives of failed companies
Task the SEC with regular, annual audit reports of entities the federal government has brought under conservatorship or now owns ...
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Enter in Oil Gas, Banks, Power, Metal, Auto & Realty sectors today as the sectors are still under oversold zone. While IT, Tech are under overbought zone. Profit book in IT,tech today....
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Today, IT Tech stocks has surged really high because of heavy speculation. & in single day its call has reached. I think booking profit in IT, tech is advisable right now. NIFTY to revisit 3850-3870 PUT....
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Satyam has reached almost 8% high from yesterday\'s close. Well its ADR was up by 8% but it was down by 16% day before yesterday\'s dow surge. & in Indian market satyam hasnt shown huge correction day before yesterday. I think Satyam has to accumulated at Rs. 280. Its good stock for medium to long term. I think accumulation near 280 is wise. Book profit at this moment as it looks pricy right now. in just one day....
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Due to yestarday\\\\\\`s strong recovery, market today showing signs of strength. Also, SEBI has regulated the market I think lots of retail investors have leveraged the positions in the market today. So, at the end profit booking might happen to some extent, but its accumulation day actually....
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Buy It stocks today. Great opportunity seems coming. I think good accumulation will be seen in stocks like satyam, HCL tech, Infy, Wipro & even TCS. Bullish on the sector as whole due to rupee.
Accumulate in big way....
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The India bull package really took the hammering in this fall,
India bulls: 155
Indiabulls Real estate : 160
India Bull securiteies : 38
All are at the Year lows.... one can pick this counters in small quantities and play for the bounce....
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I request the learned boarders to help out newcomers like me to learn how to play the futures game- Please consider this scenario that I went through today- I shorted a mininifty future at 3800 in first few seconds of trade today- After a couple of hours when I checked I was shocked to see nifty in green & in the end I had to square off in a significant loss @ 3930 (as market tom may be unpredictable). I am sure that there are many foolish losers like me who would like to be enlightened by the esteemed boarders who use FnO strategy regularly. Hope we are not losers every time.
God bless those who help others....
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Udayan's Market Outlook
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Gear up for tough morning today | |
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| Udayan Mukherjee, Stocks Editor, TV18 | ||
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