Options Trading

Stock calls and Option Calls For Today



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Intraday Calls

Aban Offshore
Buy with stop loss 830
Target 845.00

Gujarat Sidhee Cement
Buy with stop loss 14.50
Target 18.00

Jaiprakash Associates
Buy with stop loss 120
Target 130

Fresenius Kabi Oncology
Buy with stop loss 147
Target 180.00 in 1 month

Some best/Active Option Calls

BUY APOLLOTYRE 70CA

ABOVE 2.50

TGT 3.50-4.25

SL 1.50

BUY BHARTIARTL 320CA

ABOVE 1.25

TGT 1.55-1.75

SL 0.85

BUY BPCL 700CA

ABOVE 10.25

TGT 14-16

SL 7.60

BUY HDIL 300CA

ABOVE 2.85

TGT 3.75-4.25

SL 2.60

BUY ICICIBANK 1000CA

ABOVE 9.15

TGT 14-18

SL 5.90

BUY ICICIBANK 1000PA

ABOVE 16.25

TGT 18-20

SL 14.50

BUY PETRONET 115CA

ABOVE 0.50

TGT 1.20-1.65
BUY RELIANCE 960CA

ABOVE 31

TGT 39-45

SL 24.95

BUY RELIANCE 1000PA

ABOVE 11

TGT 17-22

SL 6.50

BUY RENUKA 70CA

ABOVE 1.25

TGT 1.70-2.00

SL 0.85

BUY UNITECH 85CA

ABOVE 1.35

TGT 2.00-2.25

SL 0.90

BUY UNITECH 85PA

ABOVE 0.75

TGT 1.50-2.00

BUY DLF 320CA

ABOVE 12.45

TGT 17-20

SL 8.80

BUY DLF 320PA

ABOVE 0.25

TGT 2.00-4.00

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Stock Calls For Today

Stock Calls for 01-06-2010

  • Nifty ended the day at provisional 5088.80,Sensex ends choppy trade in positive 16,938.03,
  • StanChart IDR issue subscribed 24 per cent
  • Daiichi Sankyo to keep Ranbaxy listed
  • IOC posts 16% decline in Q4 net profit to Rs 5,556.77 crore
  • Parkway up on $835 mn bid

 

For longs
Buy Mundra port @ 686
Target 705
SL 675

For Shorts
sell Punj lloyd @ 125
cover at 112
sl 138

Buy Lawreshwar @ 7.06

For short term Buy J M Financials @ 38.15
For Medium term buy NMDC.@ 281
For long term Buy FACT Ent. @ 39

Buy Call option of Noida toll of June series of
Strike Price 30 @ 0.60
Stop loss : 0.10
Target of 1.10 (Spot 28.25)

Buy put option of JP Associates of June Series of
Strike Price 120 @ 4.70
Target 6.70
Stop loss : 2 (Spot 125.20)

Sell call option of Suzlon of June series of
Strike Price  60 @ 2
& Buy call option of June series of
Strike Price 50 @ 8

Momentum positional call
Buy Ivrcl infra. @ 165 for a period of 5 days
Stoploss: 156
Target : 177

 

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Stock Market Update For Today

1. Sensex ends 200 points lower; RCom, Rel Infra slip
2. ICICI Venture plans $500 mn infra fund
3. Ranbaxy posts Q1 net profit, beats forecast
4. Gold rebounds by Rs 295 on global cues
5. IIP data cam be out today.

Even though the Trillion Dollar European bailout plan has somewhat averted the possibility of a free fall of Euro and European assets, some analysts are saying that the trend will continue. Investors are raising doubts about the efficacy of the plan. The plan entails even more borrowing too. The structural changes required by the debt ridden nations will still be very hard on the people. The hardships will last for comparatively very long periods too. The Euro currency has already lost  most of it’s gains it made after the announcement of the plan and Gold is still trading strong.

Future & Options Calls

BUY NIFTY 5200CE ABOVE 55.40
TGT 70-78
SL 46.95

BUY NIFTY 5100PE ABOVE 78.85
TGT 90-99.95
SL 70.45

BUY DLF 300CA ABOVE 8.60
TGT 10.50-11.95
SL 7.40

BUY HINDALCO 180CA ABOVE 1.60
TGT 2.50-2.95
SL 1.10

BUY HINDALCO 160PA ABOVE 1.75
TGT 2.25-2.50
SL 1.45

BUY ICICIBANK 920CA ABOVE 21.10
TGT 26-29
SL 18

BUY ICICIBANK 900PA ABOVE 15.65
TGT 22-25
SL 12.35

BUY RELIANCE 1050CA ABOVE 30.85
TGT 37-43
SL 26.30

BUY RELIANCE 1060PA ABOVE 17.50
TGT 22-25
SL 14.90

BUY TATAMOTORS 820CA ABOVE 15.60
TGT 20-23
SL 12.85

BUY TATAMOTORS 800PA ABOVE 24.15
TGT 30-33
SL 20.90

BUY TATASTEEL 580CA ABOVE 17.25
TGT 27-30
SL 12.30

BUY TATASTEEL 560PA ABOVE 11.80
TGT 16-18
SL 9.35

BUY UNITECH 80CA ABOVE 1.70
TGT 2.20-2.40
SL 1.40

BUY UNITECH 75PA ABOVE 1.85
TGT 2.25-2.50
SL 1.60

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Wednesday, May 12th, 2010 Intraday Calls, Options Trading No Comments

Recovery Phase Of Markets Ahead

The market opened on firm note yesterday on the back of strong global cues but remained range bound throughout the session moving in the positive territory. Stocks belonging to the reality and metal sectors, which were beaten down showed much needed strength and ended on bright note yesterday. Select capital goods and PSU stocks too edged higher, while IT, pharma and FMCG stocks ended on a subdued note.

Those who bought yesterday will get a reasonable profit today.

Nifty Levels
If Nifty(spot) trade above 5275 then we can see upmove in the market upto 5300 – 5320 – 5350
if Nifty(spot) trade below 5220 then we can see bearidh trend  in the market upto 5200 – 5170 – 5150.

Intraday Calls

M&M : Buy above 531 sl 524 Targets 540,544 Or if trades below 519 Short M&M SL 526 Targets 509,505

ACC: Buy above 912 sl 903 Targets 924,930 Or if trades near 896 Short ACC SL 905 Targets 884,880

BPCL: Buy above 506 sl 498 Targets 515,520 Or if trades near 493 Short BPCL SL 500 Targets 480,475

 

Options Tips For Intraday

BUY NIFTY 5300CE ABOVE 78 TGT 85-88 SL 73.95

BUY NIFTY 5200PE ABOVE 92 TGT 99-103 SL 87.65

BUY BHARTIARTL 300CA ABOVE 8.25 TGT 9.25-9.80 SL 7.65

BUY DLF 320CA ABOVE 10.35 TGT 12.50-13.50 SL 9.20

BUY DLF 300PA ABOVE 10.15 TGT 11.75-12.50 SL 9.25

BUY ICICIBANK 940CA ABOVE 27.70 TGT 31-33 SL 25.50

BUY MARUTI 1300CA ABOVE 24.45 TGT 27-29 SL 22.75

BUY MARUTI 1300PA ABOVE 46.60 TGT 53-56 SL 43

BUY RELIANCE 1050CA ABOVE 24.45 TGT 27-29 SL 22.80

BUY RELIANCE 1000PA ABOVE 15.45 TGT 20-22.50 SL 12.80

BUY SBIN 2300CA ABOVE 53.30 TGT 61-65 SL 49.20

BUY SUZLON 75CA ABOVE 1.15 TGT 1.40-1.50 SL 1.05

BUY SUZLON 70PA ABOVE 3.65 TGT 4.25-4.60 SL 3.30

BUY TATASTEEL 640CA ABOVE 20.30 TGT 22-23 SL 19.25

BUY UNITECH 85CA ABOVE 2.50 TGT 3-3.25 SL 2.25

 

 

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Friday, April 30th, 2010 Intraday Calls, Options Trading No Comments

Stock Tips For 20th October 2009

Buy IRB above 263 SL 259.45 Target 267-269
BUY VIDEOCON IND CMP 254 STOP 252 TARGET 264.

Futures (Weekly)

Hold Long Nifty October ’09 with a target of 5305.00 & with a stoploss below 5051.00.

Buy BankNifty Oct.’09 at current levels with a target of 10153.00 & with a stoploss below 9150.00.

Options

Sell Nifty Oct.’09 5000.00 PE at current levels with a target of 23.00 & with a stoploss above 52.00.

Buy Sesa Goa 360.00 CA at current levels with a target of 16.00 & with a stoploss below 6.00.

Very Long Term Delivery Calls (1-2 Years)

We strongly recommend a buy on Clarian Chemicals India Ltd. at current levels with a long-term target of 775.00.

We strongly recommend a buy on CMC Ltd. at current levels with a long-term target of 3625.00.

Long Term Delivery Calls (4-6 Months)

We strongly recommend a buy on Chowgule Steamships Ltd. at current levels with a long-term target of 120.00.

We strongly recommend a buy on Prism Cement at current levels with a long-term target of 77.00.

Medium Term Delivery Calls (3-4 Months)

We strongly recommend a buy on Gujarat Alkalies & Chem. Ltd. at current levels with a medium-term target of 186.00 & with a stoploss below 94.00.

We strongly recommend a buy on Gujarat Fluorochemicals Ltd. at current levels with a medium-term target of 249.00 & with a stoploss below 111.00.

Short Term Delivery Calls (1-2 Months)

Buy Gujarat Gas Co. at current levels with a short-term target of 229.00 & with a stoploss below 196.00.

Buy Gujarat Inds. Power Co. Ltd. at current levels with a short-term target of 150.00 & with a stoploss below 105.00.

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Asian Markets

European Markets

Imp Pivot Levels

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