The Basic Golden Rules of Trading ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Always be a disciplined trader. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Price is what you pay. Value is what you get. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Never trade on news or rumors, always follow the levels, remember, news does not make levels, it just triggers levels. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Never ever enter a trade where the risk to reward ratio is less than 1:4. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Never get panicked or exited by the happenings on the screen, stick to the levels and stop loss, else you’ll always end up loser. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------80-20 rule→Always remember 80% of the profit from trading will come only from 20% of your trades. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Be consistent and systemic→A trader has to be systemic and consistent in his trading. Only a consistent trader can make most out of the available opportunities. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------No prediction→One can never know in advance which of his trade will end in a loss or profit. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Follow the trend→Always follow the trend. Follow the price and never ever expect market to follow you. ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------Big profits & losses (a part of trading)→Hold your profit making trade till your trailing stop loss hit. Same way, Enter in your trade with proper stop loss and close your trade when ever your stop loss hits.------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- ------------------------- -------------------------

Live Comex Commodity Market


The Commodity Prices Powered by Focus ComTrendz - The Financial & Research Portal.

NSE Live HeatMap

16 May 2012

MCX IntraDay Trend - 16May2012


Focus ComTrendz
>>--< FCT >--<<

ALUMINI
PCP : 108.05
Daily Trend
Pivot Point : 108.0
R1 : 108.5 - R2 : 108.9 - R3 : 109.4
S1 : 107.6 - S2 : 107.1 - S3 : 106.7

Expected Range
107.6 -  108.5

>>---<>---<<

ALUMINI
>>--- In the Range ---<<
Buy around : 107.8 - 107.7 StopLoss below : 107.6 for Target : 108.0 - 108.2 - 108.3
&
Sell around : 108.3 - 108.4 StopLoss above : 108.5 for Target : 108.1 - 107.9 - 107.8

>>--- If BreakOut ---<<
Buy around : 108.5 - 108.3 StopLoss below : 108.2 for Target : 108.9 - 109.2
&
Sell around : 107.6 - 107.8 StopLoss above : 107.9 for Target : 107.2 - 106.9

>>---<<=>>---<<


ALUMINIUM
PCP : 108.05
Daily Trend
Pivot Point : 108.0
R1 : 108.5 - R2 : 108.9 - R3 : 109.4
S1 : 107.6 - S2 : 107.1 - S3 : 106.6

Expected Range
107.8 -  108.7

>>---<>---<<

ALUMINIUM
>>--- In the Range ---<<
Buy around : 107.8 - 107.7 StopLoss below : 107.5 for Target : 108.0 - 108.2 - 108.3
&
Sell around : 108.3 - 108.4 StopLoss above : 108.6 for Target : 108.1 - 107.9 - 107.8

>>--- If BreakOut ---<<
Buy around : 108.6 - 108.3 StopLoss below : 108.2 for Target : 109.0 - 109.3
&
Sell around : 107.5 - 107.8 StopLoss above : 107.9 for Target : 107.1 - 106.8

>>---<<=>>---<<


BRCRUDEOIL
PCP : 6026
Daily Trend
Pivot Point : 6023
R1 : 6062 - R2 : 6099 - R3 : 6138
S1 : 5986 - S2 : 5947 - S3 : 5910

Expected Range
6005 -  6081

>>---<>---<<

BRCRUDEOIL
>>--- In the Range ---<<
Buy around : 6005 - 5994 StopLoss below : 5984 for Target : 6019 - 6039 - 6046
&
Sell around : 6046 - 6057 StopLoss above : 6067 for Target : 6033 - 6012 - 6005

>>--- If BreakOut ---<<
Buy around : 6067 - 6046 StopLoss below : 6039 for Target : 6101 - 6122
&
Sell around : 5984 - 6005 StopLoss above : 6012 for Target : 5950 - 5929

>>---<<=>>---<<


COPPER
PCP : 421.55
Daily Trend
Pivot Point : 422.2
R1 : 424.1 - R2 : 426.6 - R3 : 428.5
S1 : 419.7 - S2 : 417.8 - S3 : 415.3

Expected Range
418.8 -  423.1

>>---<>---<<

COPPER
>>--- In the Range ---<<
Buy around : 420.3 - 419.7 StopLoss below : 419.1 for Target : 421.1 - 422.4 - 422.8
&
Sell around : 422.8 - 423.4 StopLoss above : 424.0 for Target : 422.0 - 420.7 - 420.3

>>--- If BreakOut ---<<
Buy around : 424.0 - 422.8 StopLoss below : 422.4 for Target : 425.9 - 427.1
&
Sell around : 419.1 - 420.3 StopLoss above : 420.7 for Target : 417.2 - 416.0

>>---<<=>>---<<


COPPERM
PCP : 421.6
Daily Trend
Pivot Point : 422.2
R1 : 424.1 - R2 : 426.6 - R3 : 428.4
S1 : 419.7 - S2 : 417.9 - S3 : 415.4

Expected Range
418.8 -  423.1

>>---<>---<<

COPPERM
>>--- In the Range ---<<
Buy around : 420.4 - 419.8 StopLoss below : 419.2 for Target : 421.2 - 422.4 - 422.8
&
Sell around : 422.8 - 423.4 StopLoss above : 424.0 for Target : 422.0 - 420.8 - 420.4

>>--- If BreakOut ---<<
Buy around : 424.0 - 422.8 StopLoss below : 422.4 for Target : 425.9 - 427.1
&
Sell around : 419.2 - 420.4 StopLoss above : 420.8 for Target : 417.3 - 416.1

>>---<<=>>---<<


CRUDEOIL
PCP : 5083
Daily Trend
Pivot Point : 5097
R1 : 5122 - R2 : 5162 - R3 : 5187
S1 : 5057 - S2 : 5032 - S3 : 4992

Expected Range
5045 -  5110

>>---<>---<<

CRUDEOIL
>>--- In the Range ---<<
Buy around : 5065 - 5056 StopLoss below : 5047 for Target : 5077 - 5094 - 5100
&
Sell around : 5100 - 5109 StopLoss above : 5118 for Target : 5089 - 5071 - 5065

>>--- If BreakOut ---<<
Buy around : 5118 - 5100 StopLoss below : 5094 for Target : 5147 - 5165
&
Sell around : 5047 - 5065 StopLoss above : 5071 for Target : 5018 - 5000

>>---<<=>>---<<


GOLD
PCP : 28126
Daily Trend
Pivot Point : 28107
R1 : 28223 - R2 : 28320 - R3 : 28436
S1 : 28010 - S2 : 27894 - S3 : 27797

Expected Range
27952 -  28165

>>---<>---<<

GOLD
>>--- In the Range ---<<
Buy around : 28067 - 28038 StopLoss below : 28008 for Target : 28106 - 28165 - 28184
&
Sell around : 28184 - 28213 StopLoss above : 28243 for Target : 28145 - 28086 - 28067

>>--- If BreakOut ---<<
Buy around : 28243 - 28184 StopLoss below : 28165 for Target : 28337 - 28396
&
Sell around : 28008 - 28067 StopLoss above : 28086 for Target : 27914 - 27855

>>---<<=>>---<<


GOLDM
PCP : 28147
Daily Trend
Pivot Point : 28139
R1 : 28258 - R2 : 28369 - R3 : 28488
S1 : 28028 - S2 : 27909 - S3 : 27798

Expected Range
27968 -  28198

>>---<>---<<

GOLDM
>>--- In the Range ---<<
Buy around : 28083 - 28052 StopLoss below : 28020 for Target : 28125 - 28189 - 28210
&
Sell around : 28210 - 28241 StopLoss above : 28273 for Target : 28168 - 28104 - 28083

>>--- If BreakOut ---<<
Buy around : 28273 - 28210 StopLoss below : 28189 for Target : 28375 - 28439
&
Sell around : 28020 - 28083 StopLoss above : 28104 for Target : 27918 - 27854

>>---<<=>>---<<


LEAD
PCP : 108.7
Daily Trend
Pivot Point : 109.0
R1 : 109.5 - R2 : 110.3 - R3 : 110.8
S1 : 108.2 - S2 : 107.7 - S3 : 106.9

Expected Range
107.9 -  109.3

>>---<>---<<

LEAD
>>--- In the Range ---<<
Buy around : 108.3 - 108.2 StopLoss below : 108.0 for Target : 108.6 - 108.9 - 109.1
&
Sell around : 109.1 - 109.2 StopLoss above : 109.4 for Target : 108.8 - 108.5 - 108.3

>>--- If BreakOut ---<<
Buy around : 109.4 - 109.1 StopLoss below : 108.9 for Target : 110.0 - 110.4
&
Sell around : 108.0 - 108.3 StopLoss above : 108.5 for Target : 107.4 - 107.0

>>---<<=>>---<<


LEADMINI
PCP : 108.7
Daily Trend
Pivot Point : 109.0
R1 : 109.5 - R2 : 110.3 - R3 : 110.8
S1 : 108.2 - S2 : 107.7 - S3 : 106.9

Expected Range
107.9 -  109.3

>>---<>---<<

LEADMINI
>>--- In the Range ---<<
Buy around : 108.3 - 108.2 StopLoss below : 108.0 for Target : 108.6 - 108.9 - 109.1
&
Sell around : 109.1 - 109.2 StopLoss above : 109.4 for Target : 108.8 - 108.5 - 108.3

>>--- If BreakOut ---<<
Buy around : 109.4 - 109.1 StopLoss below : 108.9 for Target : 110.0 - 110.4
&
Sell around : 108.0 - 108.3 StopLoss above : 108.5 for Target : 107.4 - 107.0

>>---<<=>>---<<


NATURALGAS
PCP : 134.7
Daily Trend
Pivot Point : 133.4
R1 : 136.5 - R2 : 138.4 - R3 : 141.5
S1 : 131.5 - S2 : 128.4 - S3 : 126.5

Expected Range
132.4 -  137.4

>>---<>---<<

NATURALGAS
>>--- In the Range ---<<
Buy around : 133.3 - 132.6 StopLoss below : 131.9 for Target : 134.2 - 135.6 - 136.1
&
Sell around : 136.1 - 136.8 StopLoss above : 137.4 for Target : 135.2 - 133.8 - 133.3

>>--- If BreakOut ---<<
Buy around : 137.4 - 136.1 StopLoss below : 135.6 for Target : 139.7 - 141.0
&
Sell around : 131.9 - 133.3 StopLoss above : 133.8 for Target : 129.7 - 128.4

>>---<<=>>---<<


NICKEL
PCP : 921.1
Daily Trend
Pivot Point : 918.1
R1 : 925.0 - R2 : 928.8 - R3 : 935.7
S1 : 914.3 - S2 : 907.4 - S3 : 903.6

Expected Range
916.2 -  926.9

>>---<>---<<

NICKEL
>>--- In the Range ---<<
Buy around : 918.2 - 916.7 StopLoss below : 915.2 for Target : 920.1 - 923.1 - 924.0
&
Sell around : 924.0 - 925.5 StopLoss above : 927.0 for Target : 922.1 - 919.1 - 918.2

>>--- If BreakOut ---<<
Buy around : 927.0 - 924.0 StopLoss below : 923.1 for Target : 931.7 - 934.7
&
Sell around : 915.2 - 918.2 StopLoss above : 919.1 for Target : 910.5 - 907.5

>>---<<=>>---<<


NICKELM
PCP : 921.1
Daily Trend
Pivot Point : 918.1
R1 : 925.0 - R2 : 928.8 - R3 : 935.7
S1 : 914.3 - S2 : 907.4 - S3 : 903.6

Expected Range
916.2 -  926.9

>>---<>---<<

NICKELM
>>--- In the Range ---<<
Buy around : 918.2 - 916.7 StopLoss below : 915.2 for Target : 920.1 - 923.1 - 924.0
&
Sell around : 924.0 - 925.5 StopLoss above : 927.0 for Target : 922.1 - 919.1 - 918.2

>>--- If BreakOut ---<<
Buy around : 927.0 - 924.0 StopLoss below : 923.1 for Target : 931.7 - 934.7
&
Sell around : 915.2 - 918.2 StopLoss above : 919.1 for Target : 910.5 - 907.5

>>---<<=>>---<<


SILVER
PCP : 52957
Daily Trend
Pivot Point : 53117
R1 : 53414 - R2 : 53872 - R3 : 54169
S1 : 52659 - S2 : 52362 - S3 : 51904

Expected Range
52511 -  53266

>>---<>---<<

SILVER
>>--- In the Range ---<<
Buy around : 52749 - 52645 StopLoss below : 52541 for Target : 52887 - 53095 - 53164
&
Sell around : 53164 - 53268 StopLoss above : 53372 for Target : 53026 - 52818 - 52749

>>--- If BreakOut ---<<
Buy around : 53372 - 53164 StopLoss below : 53095 for Target : 53708 - 53915
&
Sell around : 52541 - 52749 StopLoss above : 52818 for Target : 52205 - 51998

>>---<<=>>---<<


SILVERM
PCP : 52990
Daily Trend
Pivot Point : 53143
R1 : 53436 - R2 : 53882 - R3 : 54175
S1 : 52697 - S2 : 52404 - S3 : 51958

Expected Range
52551 -  53290

>>---<>---<<

SILVERM
>>--- In the Range ---<<
Buy around : 52786 - 52685 StopLoss below : 52583 for Target : 52922 - 53125 - 53193
&
Sell around : 53193 - 53294 StopLoss above : 53396 for Target : 53057 - 52854 - 52786

>>--- If BreakOut ---<<
Buy around : 53396 - 53193 StopLoss below : 53125 for Target : 53725 - 53928
&
Sell around : 52583 - 52786 StopLoss above : 52854 for Target : 52254 - 52051

>>---<<=>>---<<


SILVERMIC
PCP : 53000
Daily Trend
Pivot Point : 53160
R1 : 53470 - R2 : 53940 - R3 : 54250
S1 : 52690 - S2 : 52380 - S3 : 51910

Expected Range
52535 -  53315

>>---<>---<<

SILVERMIC
>>--- In the Range ---<<
Buy around : 52785 - 52678 StopLoss below : 52571 for Target : 52928 - 53143 - 53214
&
Sell around : 53214 - 53321 StopLoss above : 53429 for Target : 53071 - 52857 - 52785

>>--- If BreakOut ---<<
Buy around : 53429 - 53214 StopLoss below : 53143 for Target : 53776 - 53990
&
Sell around : 52571 - 52785 StopLoss above : 52857 for Target : 52223 - 52009

>>---<<=>>---<<


ZINC
PCP : 104.05
Daily Trend
Pivot Point : 103.8
R1 : 104.6 - R2 : 105.1 - R3 : 105.9
S1 : 103.3 - S2 : 102.4 - S3 : 101.9

Expected Range
103.5 -  104.8

>>---<>---<<

ZINC
>>--- In the Range ---<<
Buy around : 103.7 - 103.5 StopLoss below : 103.3 for Target : 103.9 - 104.3 - 104.4
&
Sell around : 104.4 - 104.6 StopLoss above : 104.8 for Target : 104.2 - 103.8 - 103.7

>>--- If BreakOut ---<<
Buy around : 104.8 - 104.4 StopLoss below : 104.3 for Target : 105.3 - 105.7
&
Sell around : 103.3 - 103.7 StopLoss above : 103.8 for Target : 102.8 - 102.4

>>---<<=>>---<<


ZINCMINI
PCP : 104.05
Daily Trend
Pivot Point : 103.8
R1 : 104.6 - R2 : 105.1 - R3 : 105.9
S1 : 103.3 - S2 : 102.4 - S3 : 101.9

Expected Range
103.5 -  104.8

>>---<>---<<

ZINCMINI
>>--- In the Range ---<<
Buy around : 103.7 - 103.5 StopLoss below : 103.3 for Target : 103.9 - 104.3 - 104.4
&
Sell around : 104.4 - 104.6 StopLoss above : 104.8 for Target : 104.2 - 103.8 - 103.7

>>--- If BreakOut ---<<
Buy around : 104.8 - 104.4 StopLoss below : 104.3 for Target : 105.3 - 105.7
&
Sell around : 103.3 - 103.7 StopLoss above : 103.8 for Target : 102.8 - 102.4

>>---<<=>>---<<


CARDAMOM
PCP : 1294.2
Daily Trend
Pivot Point : 1308.1
R1 : 1334.1 - R2 : 1374.1 - R3 : 1400.1
S1 : 1268.1 - S2 : 1242.1 - S3 : 1202.1

Expected Range
1255.1 -  1321.1

>>---<>---<<

CARDAMOM
>>--- In the Range ---<<
Buy around : 1276.0 - 1267.0 StopLoss below : 1257.9 for Target : 1288.1 - 1306.3 - 1312.3
&
Sell around : 1312.3 - 1321.4 StopLoss above : 1330.5 for Target : 1300.3 - 1282.1 - 1276.0

>>--- If BreakOut ---<<
Buy around : 1330.5 - 1312.3 StopLoss below : 1306.3 for Target : 1359.9 - 1378.0
&
Sell around : 1257.9 - 1276.0 StopLoss above : 1282.1 for Target : 1228.5 - 1210.4

>>---<<=>>---<<


COTTON
PCP : 16860
Daily Trend
Pivot Point : 16736
R1 : 17073 - R2 : 17286 - R3 : 17623
S1 : 16523 - S2 : 16186 - S3 : 15973

Expected Range
16630 -  17180

>>---<>---<<

COTTON
>>--- In the Range ---<<
Buy around : 16708 - 16633 StopLoss below : 16557 for Target : 16809 - 16960 - 17011
&
Sell around : 17011 - 17086 StopLoss above : 17162 for Target : 16910 - 16759 - 16708

>>--- If BreakOut ---<<
Buy around : 17162 - 17011 StopLoss below : 16960 for Target : 17407 - 17558
&
Sell around : 16557 - 16708 StopLoss above : 16759 for Target : 16312 - 16161

>>---<<=>>---<<


CPO
PCP : 583.9
Daily Trend
Pivot Point : 581.7
R1 : 588.0 - R2 : 592.0 - R3 : 598.3
S1 : 577.7 - S2 : 571.4 - S3 : 567.4

Expected Range
579.7 -  590.0

>>---<>---<<

CPO
>>--- In the Range ---<<
Buy around : 581.1 - 579.7 StopLoss below : 578.2 for Target : 583.0 - 585.8 - 586.7
&
Sell around : 586.7 - 588.1 StopLoss above : 589.6 for Target : 584.8 - 582.0 - 581.1

>>--- If BreakOut ---<<
Buy around : 589.6 - 586.7 StopLoss below : 585.8 for Target : 594.1 - 597.0
&
Sell around : 578.2 - 581.1 StopLoss above : 582.0 for Target : 573.7 - 570.8

>>---<<=>>---<<


MENTHAOIL
PCP : 1419.3
Daily Trend
Pivot Point : 1402.0
R1 : 1436.6 - R2 : 1453.8 - R3 : 1488.4
S1 : 1384.8 - S2 : 1350.2 - S3 : 1333.0

Expected Range
1393.4 -  1445.2

>>---<>---<<

MENTHAOIL
>>--- In the Range ---<<
Buy around : 1405.1 - 1397.9 StopLoss below : 1390.8 for Target : 1414.6 - 1428.8 - 1433.5
&
Sell around : 1433.5 - 1440.7 StopLoss above : 1447.8 for Target : 1424.0 - 1409.8 - 1405.1

>>--- If BreakOut ---<<
Buy around : 1447.8 - 1433.5 StopLoss below : 1428.8 for Target : 1470.8 - 1485.1
&
Sell around : 1390.8 - 1405.1 StopLoss above : 1409.8 for Target : 1367.8 - 1353.5

>>---<<=>>---<<


POTATO
PCP : 1104.3
Daily Trend
Pivot Point : 1100.1
R1 : 1114.2 - R2 : 1124.1 - R3 : 1138.2
S1 : 1090.2 - S2 : 1076.1 - S3 : 1066.2

Expected Range
1095.1 -  1119.1

>>---<>---<<

POTATO
>>--- In the Range ---<<
Buy around : 1097.7 - 1094.4 StopLoss below : 1091.1 for Target : 1102.1 - 1108.7 - 1110.9
&
Sell around : 1110.9 - 1114.2 StopLoss above : 1117.5 for Target : 1106.5 - 1099.9 - 1097.7

>>--- If BreakOut ---<<
Buy around : 1117.5 - 1110.9 StopLoss below : 1108.7 for Target : 1128.2 - 1134.8
&
Sell around : 1091.1 - 1097.7 StopLoss above : 1099.9 for Target : 1080.4 - 1073.8

>>---<<=>>---<<


POTATOTRWR
PCP : 959
Daily Trend
Pivot Point : 958.5
R1 : 962.5 - R2 : 966.0 - R3 : 970.0
S1 : 955.0 - S2 : 951.0 - S3 : 947.5

Expected Range
953.0 -  960.5

>>---<>---<<

POTATOTRWR
>>--- In the Range ---<<
Buy around : 956.9 - 955.9 StopLoss below : 954.9 for Target : 958.3 - 960.4 - 961.1
&
Sell around : 961.1 - 962.1 StopLoss above : 963.1 for Target : 959.7 - 957.6 - 956.9

>>--- If BreakOut ---<<
Buy around : 963.1 - 961.1 StopLoss below : 960.4 for Target : 966.5 - 968.5
&
Sell around : 954.9 - 956.9 StopLoss above : 957.6 for Target : 951.5 - 949.5

>>---<<=>>---<<


>>--- Follow the Trend --- Trend is your Friend ---<<

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