Welcome to SUMAMURA

January 2012

Monday, January 23 2012 TO Friday, January 27 2012

weekly   DATE 23rd / 27th january 2012  
commodity go entry Target Stoploss
gold short 1660 1659/48/37/26 1671
long 1671 1682/93/1704/15 1660
silver short  31.65 31.3/30.95/30.6/30.25/29.9/29.55/29.2 32
long 32 32.35/32.7/33.05/33.4 31.65
crude short 98.5 97.2/95.9/94.6/93.3 99.8
long 99.8 101.1/02.4/03.7/05 98.5
nat gas  short 2.31 2.28/2.25/2.22/2.19 2.34
long 2.34 2.37/2.4/2.43/2.46 2.31
copper short 3.74 3.695/3.65/3.605/3.56 3.785
long 3.785 3.83/3.875/3.92 3.74
sugar short 650 642.5/35/27.5/20 657.5
long 657.5 665/72.5/80/87.5 650


Monday, January 23 2012 TO Friday, January 27 2012

weekly   DATE  23rd to 27th jan 2012  
world indices go entry Target Stoploss
dow jones short 12760 12670/580/490/400/310/220 12850
long 12850 12940/13030/120 12760
nasdaq composit short  2787 2767/47/27/07/687 2807
long 2807 2827/47/67/87 2787
S & P short 1317 1305/1293/81/69 1329
long 1329 1341/53/65 1317
FTSE short 5740 5700/660/620/580/540/500 5780
long 5780 5820/860/900/940/980/6020 5740
nikkei short 8765 8695/25/555/485 8835
long 8835 8905/75/9045/115 8765
australian ordinary short 4310 4280/250/220/190/160 4340
long 4340 4370/400/430/460 4310
hangseng short 20040 19820/600/380 20260
long 20260 20480/700/920 20040
shanghai short 2320 2300/280/260/240 2340
long 2340 2360/80/400/420/440 220


Saturday, January 21 2012

two days ago most CEOs of power cos met the PM for resolution of their problems. this includes the likes of ratan tata / anil ambani  also.

pl read article  ( link given below) which explains what games even the biggies have played to bag UMPP contracts  and are crying foul now.

http://www.financialexpress.com/news/should-power-firms-be-bailed-out/901680/0

pl circulate this article to whomever possible. THIS WAY U WL BE DOING SOME GOOD DEED TO GENERAL PUBLIC.

regards --- ranade


Friday, January 20 2012

 

nifty spot intra
 
short / long – 5045 / 5059
stoploss – opposite
L targets – 5073/87/5101
S targets – 5031/17/03/4989

Friday, January 20 2012

 intraday   DATE 20th jan 2012  
stocks / indices go entry Target Stoploss
BANK NIFTY short 9220 9165/110/055/9000 9275
long 9275 9330/85/440 9220
RELIANCE short  791 786/80/75/69/64/58 794
long 797 802/08/13/19 794
maruti short 1126 1119/11/04/1096 1134
long 1134 1141/49/56 1126
ICICI BANK short 793 786/79/72 796.5
long 800 807/14/21 796.5
SBI short 1884 1874/64/54/44 1894
long 1894 1904/14/24/34 1884
LT short 1277 1269/60/52/43 1286
long 1286 1294/1303/11 1277
mcleod russel short 184 181.5/79/76.5/74 185.25
long 186.5 189/91.5/94 185.25
tata motors short 216 214/12/10/08/06 217
long 218 220/22/24/26/28/ 217
bhel short 264 261.5/59/56.5 266.5
long 266.5 269/71.5/74 264
R infra short 484 479/74/69/64 486.5
long 489 494/99/504/09 486.5
punj lloyd short 49 48.5/48/47.5/47 49.25
long 49.5 50/50.5/51/51.5 49.25
aban short 438 435/32/29/26/23/20 441
long 444 447/50/53/56/59 441