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CALL & PUT PAST PERFORMANCE OF APRIL - 2009
DATE
BUY/SELL
SCRIPT NAME
RECO PRICE
STOP LOSS
TARGET
REMARKS
DIFF.
LOT SIZE
TOTAL
01-Apr
BUY
Rolta(65) APR FUT
5
3.05
5.85/6.6/8.0
3rd TGT Achieved
3
1800
5400
08-Apr
BUY (30 APR Strike Price 120)
Punjlyod
6.05
3
7.5/8.9/11
2nd TGT Achieved
2.9
1500
4350
15-Apr
BUY (Call APR StrikePrice 1290)
SBIN
37
22
50/65/78
1st TGT Achieved
26
264
6864
15-Apr
BUY (Call APR StrikePrice 65)
SUZLON
6
4.35
6.5/7.2/8.4/10
2nd TGT Achieved
1.2
6000
22239
15-Apr
BUY(Call APR Strike Price 110)
Rolta
5.9
2.5
7.8/9.5/12/15
2nd TGT Achieved
3.6
1800
6480
15-Apr
BUY(Call APR Strike Price 120)
JP Associate
9
6.9
9.9/10.9/12
SL TRIGGER
-2.1
4500
-9450
15-Apr
BUY (CallAPR Strike Price 115)
SAIL
4
2.5
4.5/4.9/5.8/7
2nd TGT Achieved
0.9
5400
4860
15-Apr
BUY (CallAPR Strike Price 65)
SUZLON
3.2
2.5
3.8/4.4/5.2
1st TGT Achieved
0.6
6000
3600
15-Apr
BUY(PUT APR Strike Price 110)
SAIL
2
1.4
2.4/2.9/3.5
1st TGT Achieved
0.4
5400
2160
15-Apr
BUY(PUTNifty 3400 May)
Nifty
170
152
177/186/200
2nd TGT Achieved
16
50
800
15-Apr
BUY(CALL MAY 65 Strike Price)
SUZLON
6.5
5
7/7.5/8.3/9
1st TGT Achieved
0.5
6000
3000
TOTAL PROFIT:
50303/-
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