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  #1  
Old 9th June 2009, 08:29 AM
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Default man4urheart's Portfolio



Man sir ., if u dont hav any problem to reveal ur's PF stocks please post them here for the benifit of the members and visitors.

I think other members would also like this.

Thank You
Ram
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  #2  
Old 9th June 2009, 12:21 PM
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I think other than you, nobody else is interested buddy!

It was all visible on my blog for one year! Last month I took it out!

Anyway it is a crap portfolio, which is a loser! I am fixing it slowly!

I have a feeling Alchemist will delete this post....:-)
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  #3  
Old 9th June 2009, 12:31 PM
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I believe most of us have loser portfolios only !!
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  #4  
Old 9th June 2009, 12:36 PM
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Ok here is give and take thing

If everybody put down there porfolio, you will have mine coming in by end of day!
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  #5  
Old 10th June 2009, 10:43 AM
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Thumbs up My protfolio

Here is my portfolio

Shares sold (last 2 months)
--------------------------
RNRL
Gujarat Borosil
RPL
Blue Chip Tex Ind
TFCI
SB&T
Andhra Sugars
Global Capital Market
Computec
Platinum Corp
G V Films
Arvind Remedies
Dish TV
ATN International
ACC
RNRL
Ashok Leyland

Holding Shares
--------------
Adlabs Films
Bajaj Auto Finance
DLF
Indian Hotels
Neyveli Lignite
Sujana Metals
Tata Motors
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  #6  
Old 10th June 2009, 10:54 AM
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Gujarat Borosil ............I like this stock and tracking this for years

It would b better if u post this in a seperate thread with ur name and not here so that we can discuss abt perticular stocks of individuals why they were baught .

Last edited by ramkasi : 10th June 2009 at 11:06 AM.
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  #7  
Old 10th June 2009, 01:37 PM
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Since this post is not deleted, I assume Alchemist is OK with it!

- LT
- Sundaram Fastners (I love this stock)
- Infosys
- TCS
- Sonata Software
- Tech Mahindra
- Pantaloon retail
- Suzlon
- Maharashtra seamless
- Jindal SAW
- ABB
- ACC
- GRASIM
- ULTRATECH
- ABGSHIP


and some more, will add later, as these are the one's I remember!

Now you can laugh on it!

Only Suzlon & LT is making profit

Sold with profit last month
RELIANCE
BHEL
GUJNRECOKE
ICICIBANK
GE SHIP

Loss taken

SATYAM

Last edited by man4urheart : 10th June 2009 at 02:28 PM.
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  #8  
Old 10th June 2009, 02:07 PM
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man jee i hav some doubts regarding Sundaram Fastners in ur PF

Only 30% growth in 5 years sales.
Debt more than the reserves
not a dividend Yield play.
PE of 36

record date for div. is 17th june of 50 paise.

why u love this stock sir.

Tech.Mah is a super duper hit.

I thought u would hav ABG ship.

Last edited by ramkasi : 10th June 2009 at 02:13 PM.
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  #9  
Old 10th June 2009, 02:45 PM
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Quote:
Originally Posted by ramkasi View Post
man jee i hav some doubts regarding Sundaram Fastners in ur PF

Only 30% growth in 5 years sales.
Debt more than the reserves
not a dividend Yield play.
PE of 36

record date for div. is 17th june of 50 paise.

why u love this stock sir.

Tech.Mah is a super duper hit.
It is a crap stock! that's why I love it!
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  #10  
Old 11th June 2009, 01:34 PM
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New Entry

GOLDBEES
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  #11  
Old 12th June 2009, 10:39 AM
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SOLD L&T
SOLD SUZLON

Entered Satyam 77
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  #12  
Old 12th June 2009, 01:38 PM
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Quote:
Originally Posted by man4urheart View Post
SOLD L&T
manji, any special technical reason to exit this?
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  #13  
Old 12th June 2009, 02:41 PM
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Quote:
Originally Posted by paran View Post
manji, any special technical reason to exit this?
Finshed 61.8 % Rise!

For me it was a small profit taken!
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  #14  
Old 17th June 2009, 03:44 PM
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Latest Protfolio status

- Pyramid Samira (Kotecha ke Paap!)
- Sundaram Fastners (Bonus ka lalaach in 2006!)
- Infosys
- TCS
- Sonata Software
- Tech Mahindra
- Pantaloon retail
- Maharashtra seamless
- Jindal SAW
- ABB
- ACC
- GRASIM
- ULTRATECH
- ABGSHIP
- Gold BeES (Triangle on Gold BeES, with a stoploss entry)
- Satyam Comp (Stop loss at 20 EMA)
- Put NIFTY @ 4000 bought at 10 Rs June Expiry(Speculation entry)

Note: Rest all are without stoploss, they are loss making positions, which I hold as it is too late to sell since 2008

Last edited by man4urheart : 17th June 2009 at 03:46 PM.
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  #15  
Old 23rd June 2009, 03:56 PM
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Man ur ship named ABG is going more fast than my ship named SCI....infact my ship is sinking
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  #16  
Old 26th June 2009, 08:16 AM
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Man can i enter into Sonata now... please give me the price band for this it's fundamentals looking really very good

thanks
Ram
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  #17  
Old 27th June 2009, 06:37 PM
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Man I just seen its technical charts ... looks like it has completed a rounding bottom pattern... now where it is heading.Consolidating or go further high.I want to enter into this stock so please give me the technical support.

Last edited by ramkasi : 27th June 2009 at 06:39 PM.
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  #18  
Old 3rd July 2009, 03:21 PM
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Latest Portfolio

Infosys
TCS
Sonata Software
Tech Mahindra
GoldBees
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  #19  
Old 3rd July 2009, 03:24 PM
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Quote:
Originally Posted by man4urheart View Post
Latest Portfolio

Infosys
TCS
Sonata Software
Tech Mahindra
GoldBees
Major clean up exercise - cool
Expecting market to go down ?
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  #20  
Old 3rd July 2009, 03:40 PM
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The Head and shoulder pattern on NIFTY...

I have sold 50 % of what I had.....

Now if we go up from here to 5400 or 6000, 50% portfolio will ride with it !

IF We go down from here, I will buy back selected few from sold above near 3700 and ofcourse my 50% portfolio will ride down with it!

Basically reducing risk to 50%!

I am bearish on market, but I was also before election! and Mr Market surprised me....Lets see what happens on monday!

Also hold

Nifty Narrow Strangle

4200 Put
4400 Call

AND

Nifty WIDE Strangle

4000 Put
4700 Call

Last edited by man4urheart : 3rd July 2009 at 03:43 PM.
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  #21  
Old 3rd July 2009, 03:48 PM
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But it's all IT and gold. Starking contrast I must say !!
Are you expecting IT to rally or you also stuck up with losses in that !!
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  #22  
Old 3rd July 2009, 05:25 PM
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Quote:
Originally Posted by number99 View Post
But it's all IT and gold. Starking contrast I must say !!
Are you expecting IT to rally or you also stuck up with losses in that !!
I think (dont laugh, I do think ;-) Govt may one fine day increase the tax holiday on STPI, which will give us an opportunity to exit.
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  #23  
Old 3rd July 2009, 06:23 PM
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Quote:
Originally Posted by number99 View Post
But it's all IT and gold. Starking contrast I must say !!
Are you expecting IT to rally or you also stuck up with losses in that !!

Only allowed by home minister to reduce risk by 50%. My proposal was for 100% reduction and holding only GOLD + Derivative positions!
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  #24  
Old 12th July 2009, 12:56 PM
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Man have u booked the profits in straddle?
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  #25  
Old 1st September 2009, 10:04 PM
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Quote:
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Man have u booked the profits in straddle?
Loss of 14000/_
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  #26  
Old 1st September 2009, 10:05 PM
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Halved my position in Infosys (Booked Profits @2173)

Sold @ ALL TCS 540

ACC (Loss Position)
Sonata Software(Loss Position)
Tech Mahindra(Loss Position)
GoldBees(profit)

Planning to triple my position in GOLD next week

Latest Status

ACC
Sonata Software
Tech Mahindra
GoldBees
Infosys

Last edited by man4urheart : 1st September 2009 at 10:08 PM.
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  #27  
Old 1st September 2009, 11:27 PM
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Appreciate your regular updates.
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  #28  
Old 18th September 2009, 03:37 PM
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Infosys - Position Further Halfed.

Gold Doubled my position!

Sold Sonata Software

Sold ACC

Sold Tech Mahindra

Latest Status

GOLDBEES
INFOSYS
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  #29  
Old 12th October 2009, 09:20 AM
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Infosys Sold Friday!
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  #30  
Old 18th November 2009, 02:21 PM
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Added Bharti airtel with a hard stop 286

Total Portfolio
- Gold bees
- Bharti airtel
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  #31  
Old 19th November 2009, 04:40 AM
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Quote:
Originally Posted by man4urheart View Post
Added Bharti airtel with a hard stop 286

Total Portfolio
- Gold bees
- Bharti airtel
Hello Sirji,
Is it advisable to invest in GOLD BEES now at 1700. Also in Bharti Airtel at the current values??? pls advice.

Thanks a lot.
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  #32  
Old 19th November 2009, 04:26 PM
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Quote:
Originally Posted by MMK View Post
Hello Sirji,
Is it advisable to invest in GOLD BEES now at 1700. Also in Bharti Airtel at the current values??? pls advice.

Thanks a lot.
Gold No...should have bought in sept!

Bharti keep stoploss if u buy

Last edited by man4urheart : 19th November 2009 at 04:28 PM.
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  #33  
Old 19th November 2009, 04:56 PM
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Thanks for your advice Sirji.
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  #34  
Old 19th November 2009, 09:25 PM
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Quote:
Added Bharti airtel with a hard stop 286

Total Portfolio
- Gold bees
- Bharti airtel
We have quite a similar taste for large caps.

I also did SELL some of my hedged Infosys LONG this week. I have also been LONG in AirTel with a SL of around 275 (March Low is my SL).

I also have some pledged shares of TCS which is very difficult to SELL. To hedge against these LONGs I have equivalent SHORT in HCL Tech with a SL exceeding 2007 highs of 350+ on a closing basis.

Because I sold Infosys and did not buy HCL (i.e., cover my short) I am now net SHORT.

Last edited by kkr555 : 19th November 2009 at 09:32 PM.
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  #35  
Old 20th November 2009, 04:09 PM
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out of bharti....

Gold- Holding
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  #36  
Old 30th November 2009, 03:48 PM
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Exited GOLDBEES!

Portfolio: No holdings!
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  #37  
Old 30th November 2009, 04:26 PM
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Quote:
Originally Posted by man4urheart View Post
Exited GOLDBEES!

Portfolio: No holdings!
I am in the same boat man@..
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  #38  
Old 30th November 2009, 05:42 PM
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All my money in the boat and i am at the banks of the river

deployed two wk's back and just sleeping............................
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  #39  
Old 6th January 2010, 08:28 AM
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Entered
- Gold
- SUZLON
- RCOM
- Mangalam Cement
- Ratnamani Metal
- Austral Coke

All with stoploss - Nifty = 4900
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  #40  
Old 6th January 2010, 09:45 PM
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Would it be possible for you to add some expected targets and stop losses for these scrips please?
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