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

17 May 2012

MCX IntraDay Trend - 17May2012


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

ALUMINI
PCP : 109.15
Daily Trend
Pivot Point : 108.8
R1 : 109.7 - R2 : 110.2 - R3 : 111.1
S1 : 108.3 - S2 : 107.4 - S3 : 106.9

Expected Range
108.5 -  109.9

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

ALUMINI
>>--- In the Range ---<<
Buy around : 108.8 - 108.6 StopLoss below : 108.4 for Target : 109.0 - 109.4 - 109.5
&
Sell around : 109.5 - 109.7 StopLoss above : 109.9 for Target : 109.3 - 108.9 - 108.8

>>--- If BreakOut ---<<
Buy around : 109.9 - 109.5 StopLoss below : 109.4 for Target : 110.5 - 110.9
&
Sell around : 108.4 - 108.8 StopLoss above : 108.9 for Target : 107.8 - 107.4

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


ALUMINIUM
PCP : 109.15
Daily Trend
Pivot Point : 108.8
R1 : 109.7 - R2 : 110.2 - R3 : 111.1
S1 : 108.2 - S2 : 107.3 - S3 : 106.8

Expected Range
108.5 -  110.0

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

ALUMINIUM
>>--- In the Range ---<<
Buy around : 108.8 - 108.6 StopLoss below : 108.4 for Target : 109.0 - 109.4 - 109.5
&
Sell around : 109.5 - 109.7 StopLoss above : 109.9 for Target : 109.3 - 108.9 - 108.8

>>--- If BreakOut ---<<
Buy around : 109.9 - 109.5 StopLoss below : 109.4 for Target : 110.6 - 111.0
&
Sell around : 108.4 - 108.8 StopLoss above : 108.9 for Target : 107.7 - 107.3

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


BRCRUDEOIL
PCP : 6028
Daily Trend
Pivot Point : 6039
R1 : 6075 - R2 : 6122 - R3 : 6158
S1 : 5992 - S2 : 5956 - S3 : 5909

Expected Range
6015 -  6098

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

BRCRUDEOIL
>>--- In the Range ---<<
Buy around : 6005 - 5993 StopLoss below : 5982 for Target : 6020 - 6043 - 6050
&
Sell around : 6050 - 6062 StopLoss above : 6073 for Target : 6035 - 6012 - 6005

>>--- If BreakOut ---<<
Buy around : 6073 - 6050 StopLoss below : 6043 for Target : 6110 - 6133
&
Sell around : 5982 - 6005 StopLoss above : 6012 for Target : 5945 - 5922

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


COPPER
PCP : 418.9
Daily Trend
Pivot Point : 419.6
R1 : 422.0 - R2 : 425.2 - R3 : 427.6
S1 : 416.5 - S2 : 414.1 - S3 : 411.0

Expected Range
415.3 -  420.8

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

COPPER
>>--- In the Range ---<<
Buy around : 417.4 - 416.6 StopLoss below : 415.8 for Target : 418.4 - 419.9 - 420.4
&
Sell around : 420.4 - 421.2 StopLoss above : 422.0 for Target : 419.4 - 417.9 - 417.4

>>--- If BreakOut ---<<
Buy around : 422.0 - 420.4 StopLoss below : 419.9 for Target : 424.4 - 425.9
&
Sell around : 415.8 - 417.4 StopLoss above : 417.9 for Target : 413.4 - 411.9

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


COPPERM
PCP : 418.95
Daily Trend
Pivot Point : 419.8
R1 : 422.2 - R2 : 425.5 - R3 : 427.9
S1 : 416.5 - S2 : 414.0 - S3 : 410.8

Expected Range
415.3 -  421.0

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

COPPERM
>>--- In the Range ---<<
Buy around : 417.4 - 416.6 StopLoss below : 415.8 for Target : 418.4 - 420.0 - 420.5
&
Sell around : 420.5 - 421.3 StopLoss above : 422.1 for Target : 419.5 - 417.9 - 417.4

>>--- If BreakOut ---<<
Buy around : 422.1 - 420.5 StopLoss below : 420.0 for Target : 424.6 - 426.2
&
Sell around : 415.8 - 417.4 StopLoss above : 417.9 for Target : 413.3 - 411.7

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


CRUDEOIL
PCP : 5048
Daily Trend
Pivot Point : 5057
R1 : 5111 - R2 : 5174 - R3 : 5228
S1 : 4994 - S2 : 4940 - S3 : 4877

Expected Range
4967 -  5084

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

CRUDEOIL
>>--- In the Range ---<<
Buy around : 5015 - 4999 StopLoss below : 4983 for Target : 5037 - 5069 - 5080
&
Sell around : 5080 - 5096 StopLoss above : 5112 for Target : 5058 - 5026 - 5015

>>--- If BreakOut ---<<
Buy around : 5112 - 5080 StopLoss below : 5069 for Target : 5164 - 5196
&
Sell around : 4983 - 5015 StopLoss above : 5026 for Target : 4931 - 4899

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


GOLD
PCP : 27962
Daily Trend
Pivot Point : 28003
R1 : 28151 - R2 : 28341 - R3 : 28489
S1 : 27813 - S2 : 27665 - S3 : 27475

Expected Range
27739 -  28077

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

GOLD
>>--- In the Range ---<<
Buy around : 27869 - 27822 StopLoss below : 27776 for Target : 27931 - 28024 - 28054
&
Sell around : 28054 - 28101 StopLoss above : 28147 for Target : 27993 - 27900 - 27869

>>--- If BreakOut ---<<
Buy around : 28147 - 28054 StopLoss below : 28024 for Target : 28298 - 28391
&
Sell around : 27776 - 27869 StopLoss above : 27900 for Target : 27625 - 27532

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


GOLDM
PCP : 27975
Daily Trend
Pivot Point : 28024
R1 : 28178 - R2 : 28381 - R3 : 28535
S1 : 27821 - S2 : 27667 - S3 : 27464

Expected Range
27744 -  28101

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

GOLDM
>>--- In the Range ---<<
Buy around : 27876 - 27827 StopLoss below : 27778 for Target : 27942 - 28040 - 28073
&
Sell around : 28073 - 28122 StopLoss above : 28171 for Target : 28007 - 27909 - 27876

>>--- If BreakOut ---<<
Buy around : 28171 - 28073 StopLoss below : 28040 for Target : 28330 - 28428
&
Sell around : 27778 - 27876 StopLoss above : 27909 for Target : 27619 - 27521

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


LEAD
PCP : 106.95
Daily Trend
Pivot Point : 107.5
R1 : 108.3 - R2 : 109.7 - R3 : 110.5
S1 : 106.2 - S2 : 105.3 - S3 : 104.0

Expected Range
105.7 -  107.9

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

LEAD
>>--- In the Range ---<<
Buy around : 106.4 - 106.1 StopLoss below : 105.8 for Target : 106.8 - 107.3 - 107.5
&
Sell around : 107.5 - 107.8 StopLoss above : 108.1 for Target : 107.1 - 106.6 - 106.4

>>--- If BreakOut ---<<
Buy around : 108.1 - 107.5 StopLoss below : 107.3 for Target : 109.1 - 109.7
&
Sell around : 105.8 - 106.4 StopLoss above : 106.6 for Target : 104.8 - 104.2

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


LEADMINI
PCP : 106.95
Daily Trend
Pivot Point : 107.5
R1 : 108.3 - R2 : 109.7 - R3 : 110.5
S1 : 106.1 - S2 : 105.3 - S3 : 103.9

Expected Range
105.7 -  107.9

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

LEADMINI
>>--- In the Range ---<<
Buy around : 106.3 - 106.0 StopLoss below : 105.7 for Target : 106.7 - 107.4 - 107.6
&
Sell around : 107.6 - 107.9 StopLoss above : 108.2 for Target : 107.2 - 106.5 - 106.3

>>--- If BreakOut ---<<
Buy around : 108.2 - 107.6 StopLoss below : 107.4 for Target : 109.1 - 109.7
&
Sell around : 105.7 - 106.3 StopLoss above : 106.5 for Target : 104.8 - 104.2

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


NATURALGAS
PCP : 142
Daily Trend
Pivot Point : 139.8
R1 : 144.7 - R2 : 147.3 - R3 : 152.2
S1 : 137.2 - S2 : 132.3 - S3 : 129.7

Expected Range
138.5 -  146.0

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

NATURALGAS
>>--- In the Range ---<<
Buy around : 139.9 - 138.9 StopLoss below : 137.9 for Target : 141.3 - 143.4 - 144.1
&
Sell around : 144.1 - 145.1 StopLoss above : 146.1 for Target : 142.7 - 140.6 - 139.9

>>--- If BreakOut ---<<
Buy around : 146.1 - 144.1 StopLoss below : 143.4 for Target : 149.5 - 151.5
&
Sell around : 137.9 - 139.9 StopLoss above : 140.6 for Target : 134.5 - 132.5

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


NICKEL
PCP : 923.7
Daily Trend
Pivot Point : 924.8
R1 : 934.9 - R2 : 946.2 - R3 : 956.3
S1 : 913.5 - S2 : 903.4 - S3 : 892.1

Expected Range
919.2 -  940.6

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

NICKEL
>>--- In the Range ---<<
Buy around : 917.8 - 914.9 StopLoss below : 911.9 for Target : 921.7 - 927.6 - 929.6
&
Sell around : 929.6 - 932.5 StopLoss above : 935.5 for Target : 925.7 - 919.8 - 917.8

>>--- If BreakOut ---<<
Buy around : 935.5 - 929.6 StopLoss below : 927.6 for Target : 945.0 - 950.9
&
Sell around : 911.9 - 917.8 StopLoss above : 919.8 for Target : 902.4 - 896.5

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


NICKELM
PCP : 923.9
Daily Trend
Pivot Point : 924.8
R1 : 935.0 - R2 : 946.0 - R3 : 956.2
S1 : 913.8 - S2 : 903.6 - S3 : 892.6

Expected Range
919.3 -  940.5

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

NICKELM
>>--- In the Range ---<<
Buy around : 918.1 - 915.2 StopLoss below : 912.2 for Target : 922.0 - 927.8 - 929.7
&
Sell around : 929.7 - 932.6 StopLoss above : 935.6 for Target : 925.8 - 920.0 - 918.1

>>--- If BreakOut ---<<
Buy around : 935.6 - 929.7 StopLoss below : 927.8 for Target : 945.0 - 950.8
&
Sell around : 912.2 - 918.1 StopLoss above : 920.0 for Target : 902.8 - 897.0

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


SILVER
PCP : 51559
Daily Trend
Pivot Point : 51959
R1 : 52717 - R2 : 53876 - R3 : 54634
S1 : 50800 - S2 : 50042 - S3 : 48883

Expected Range
50421 -  52338

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

SILVER
>>--- In the Range ---<<
Buy around : 51031 - 50768 StopLoss below : 50504 for Target : 51383 - 51910 - 52086
&
Sell around : 52086 - 52349 StopLoss above : 52613 for Target : 51734 - 51207 - 51031

>>--- If BreakOut ---<<
Buy around : 52613 - 52086 StopLoss below : 51910 for Target : 53466 - 53993
&
Sell around : 50504 - 51031 StopLoss above : 51207 for Target : 49651 - 49124

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


SILVERM
PCP : 51588
Daily Trend
Pivot Point : 51984
R1 : 52743 - R2 : 53899 - R3 : 54658
S1 : 50828 - S2 : 50069 - S3 : 48913

Expected Range
50449 -  52364

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

SILVERM
>>--- In the Range ---<<
Buy around : 51061 - 50798 StopLoss below : 50534 for Target : 51412 - 51939 - 52114
&
Sell around : 52114 - 52377 StopLoss above : 52641 for Target : 51763 - 51236 - 51061

>>--- If BreakOut ---<<
Buy around : 52641 - 52114 StopLoss below : 51939 for Target : 53493 - 54020
&
Sell around : 50534 - 51061 StopLoss above : 51236 for Target : 49682 - 49156

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


SILVERMIC
PCP : 51601
Daily Trend
Pivot Point : 51982
R1 : 52764 - R2 : 53927 - R3 : 54709
S1 : 50819 - S2 : 50037 - S3 : 48874

Expected Range
50428 -  52373

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

SILVERMIC
>>--- In the Range ---<<
Buy around : 51066 - 50798 StopLoss below : 50531 for Target : 51422 - 51957 - 52135
&
Sell around : 52135 - 52403 StopLoss above : 52670 for Target : 51779 - 51244 - 51066

>>--- If BreakOut ---<<
Buy around : 52670 - 52135 StopLoss below : 51957 for Target : 53536 - 54071
&
Sell around : 50531 - 51066 StopLoss above : 51244 for Target : 49665 - 49130

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


ZINC
PCP : 103.25
Daily Trend
Pivot Point : 103.6
R1 : 104.2 - R2 : 105.2 - R3 : 105.8
S1 : 102.7 - S2 : 102.1 - S3 : 101.1

Expected Range
102.4 -  103.9

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

ZINC
>>--- In the Range ---<<
Buy around : 102.8 - 102.6 StopLoss below : 102.4 for Target : 103.1 - 103.5 - 103.7
&
Sell around : 103.7 - 103.9 StopLoss above : 104.1 for Target : 103.4 - 103.0 - 102.8

>>--- If BreakOut ---<<
Buy around : 104.1 - 103.7 StopLoss below : 103.5 for Target : 104.8 - 105.2
&
Sell around : 102.4 - 102.8 StopLoss above : 103.0 for Target : 101.7 - 101.3

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


ZINCMINI
PCP : 103.25
Daily Trend
Pivot Point : 103.6
R1 : 104.2 - R2 : 105.2 - R3 : 105.8
S1 : 102.7 - S2 : 102.1 - S3 : 101.1

Expected Range
102.4 -  103.9

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

ZINCMINI
>>--- In the Range ---<<
Buy around : 102.8 - 102.6 StopLoss below : 102.4 for Target : 103.1 - 103.5 - 103.7
&
Sell around : 103.7 - 103.9 StopLoss above : 104.1 for Target : 103.4 - 103.0 - 102.8

>>--- If BreakOut ---<<
Buy around : 104.1 - 103.7 StopLoss below : 103.5 for Target : 104.8 - 105.2
&
Sell around : 102.4 - 102.8 StopLoss above : 103.0 for Target : 101.7 - 101.3

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


CARDAMOM
PCP : 1311.9
Daily Trend
Pivot Point : 1302.3
R1 : 1333.6 - R2 : 1355.2 - R3 : 1386.5
S1 : 1280.7 - S2 : 1249.4 - S3 : 1227.8

Expected Range
1291.5 -  1344.4

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

CARDAMOM
>>--- In the Range ---<<
Buy around : 1297.4 - 1290.1 StopLoss below : 1282.8 for Target : 1307.1 - 1321.6 - 1326.4
&
Sell around : 1326.4 - 1333.7 StopLoss above : 1341.0 for Target : 1316.7 - 1302.2 - 1297.4

>>--- If BreakOut ---<<
Buy around : 1341.0 - 1326.4 StopLoss below : 1321.6 for Target : 1364.5 - 1379.1
&
Sell around : 1282.8 - 1297.4 StopLoss above : 1302.2 for Target : 1259.3 - 1244.7

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


COTTON
PCP : 16630
Daily Trend
Pivot Point : 16693
R1 : 16806 - R2 : 16983 - R3 : 17096
S1 : 16516 - S2 : 16403 - S3 : 16226

Expected Range
16460 -  16750

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

COTTON
>>--- In the Range ---<<
Buy around : 16550 - 16510 StopLoss below : 16470 for Target : 16603 - 16683 - 16709
&
Sell around : 16709 - 16749 StopLoss above : 16789 for Target : 16656 - 16576 - 16550

>>--- If BreakOut ---<<
Buy around : 16789 - 16709 StopLoss below : 16683 for Target : 16918 - 16998
&
Sell around : 16470 - 16550 StopLoss above : 16576 for Target : 16341 - 16261

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


CPO
PCP : 567.7
Daily Trend
Pivot Point : 571.0
R1 : 576.9 - R2 : 586.2 - R3 : 592.1
S1 : 561.7 - S2 : 555.8 - S3 : 546.5

Expected Range
558.7 -  573.9

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

CPO
>>--- In the Range ---<<
Buy around : 563.5 - 561.4 StopLoss below : 559.3 for Target : 566.3 - 570.5 - 571.9
&
Sell around : 571.9 - 574.0 StopLoss above : 576.1 for Target : 569.1 - 564.9 - 563.5

>>--- If BreakOut ---<<
Buy around : 576.1 - 571.9 StopLoss below : 570.5 for Target : 582.8 - 587.0
&
Sell around : 559.3 - 563.5 StopLoss above : 564.9 for Target : 552.6 - 548.4

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


MENTHAOIL
PCP : 1424.8
Daily Trend
Pivot Point : 1432.4
R1 : 1468.5 - R2 : 1512.2 - R3 : 1548.3
S1 : 1388.7 - S2 : 1352.6 - S3 : 1308.9

Expected Range
1370.7 -  1450.4

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

MENTHAOIL
>>--- In the Range ---<<
Buy around : 1402.9 - 1391.9 StopLoss below : 1380.9 for Target : 1417.5 - 1439.4 - 1446.7
&
Sell around : 1446.7 - 1457.7 StopLoss above : 1468.7 for Target : 1432.1 - 1410.2 - 1402.9

>>--- If BreakOut ---<<
Buy around : 1468.7 - 1446.7 StopLoss below : 1439.4 for Target : 1504.2 - 1526.1
&
Sell around : 1380.9 - 1402.9 StopLoss above : 1410.2 for Target : 1345.4 - 1323.5

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


POTATO
PCP : 1082.7
Daily Trend
Pivot Point : 1089.7
R1 : 1103.9 - R2 : 1125.1 - R3 : 1139.3
S1 : 1068.5 - S2 : 1054.3 - S3 : 1033.1

Expected Range
1061.4 -  1096.8

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

POTATO
>>--- In the Range ---<<
Buy around : 1073.0 - 1068.1 StopLoss below : 1063.2 for Target : 1079.5 - 1089.2 - 1092.4
&
Sell around : 1092.4 - 1097.3 StopLoss above : 1102.2 for Target : 1085.9 - 1076.2 - 1073.0

>>--- If BreakOut ---<<
Buy around : 1102.2 - 1092.4 StopLoss below : 1089.2 for Target : 1117.9 - 1127.7
&
Sell around : 1063.2 - 1073.0 StopLoss above : 1076.2 for Target : 1047.5 - 1037.7

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


POTATOTRWR
PCP : 944.6
Daily Trend
Pivot Point : 948.0
R1 : 955.6 - R2 : 966.5 - R3 : 974.1
S1 : 937.1 - S2 : 929.5 - S3 : 918.6

Expected Range
933.3 -  951.8

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

POTATOTRWR
>>--- In the Range ---<<
Buy around : 939.5 - 937.0 StopLoss below : 934.4 for Target : 942.9 - 948.0 - 949.7
&
Sell around : 949.7 - 952.2 StopLoss above : 954.8 for Target : 946.3 - 941.2 - 939.5

>>--- If BreakOut ---<<
Buy around : 954.8 - 949.7 StopLoss below : 948.0 for Target : 963.0 - 968.1
&
Sell around : 934.4 - 939.5 StopLoss above : 941.2 for Target : 926.2 - 921.1

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

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

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