RESULT IMPACT
WHAT IMPACT RESULT GIVES TO YOUR SHARE
Usually people think why does my share always go down whenever I buy and it goes up after my sell order?
It is very simple. Your shares are directly connected with the result they give ie. quarterly/annual results. Many times share price move more then its profit on high expectations. and many times price go down more then its actual profit. Whenever result is announced actual profit is seen and the price corrects from expectations to actual. Weither in positive side or negative. so see all result and comapare it with past.
As we can ignore accident just by driving actively we can ignore share market accidents by reading results actively.
regularly after the announcemnt we will update the action for bse 30 or nifty 50 companies. we requet you not to take action just on basis of expectations....let they announce the result and then take action.
CAUTION: result are always useful in long term delivery base positions. kindly do not use it for trading purpose. for trading use "charts' or daily calls given on 'research' page. Trading based on result can create unwanted accidents.
It is very simple. Your shares are directly connected with the result they give ie. quarterly/annual results. Many times share price move more then its profit on high expectations. and many times price go down more then its actual profit. Whenever result is announced actual profit is seen and the price corrects from expectations to actual. Weither in positive side or negative. so see all result and comapare it with past.
As we can ignore accident just by driving actively we can ignore share market accidents by reading results actively.
regularly after the announcemnt we will update the action for bse 30 or nifty 50 companies. we requet you not to take action just on basis of expectations....let they announce the result and then take action.
CAUTION: result are always useful in long term delivery base positions. kindly do not use it for trading purpose. for trading use "charts' or daily calls given on 'research' page. Trading based on result can create unwanted accidents.
RESULT:
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MARKET:
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latest results:
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valid till: 1stjan - 31 mar 2013 |
Infy: buy : 2600 (jan 2013)
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TCS: ADD : 1300 (jan 2013)
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AXISBANK: ADD : 1380 (jan 2013)
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YESBANK: ADD : 518 (jan 2013)
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BAJAJAUTO: SELL : 2075 (jan 2013)
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PETRONET LNG: ADD : 163 (jan 2013)
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RELIANCE: HOLD : 899 (jan 2013)
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ITC : SELL : 287 (jan 2013)
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HDFCBANK: HOLD : 659 (jan 2013)
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WIPRO: BUY : 410 (jan 2013)
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HEROMOTO: HOLD : 1800 (jan 2013)
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HCLTEC:ADD : 674 (jan 2013)
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latest results:quarter 1 : 12-13
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valid till: 1 july - 31 sept 2012VERY IMP: PLS READ COMMENTS BEFORE TAKING ACTION
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ICICIBANK:ADD:831 (july2012)
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PNB:ADD:716 (july2012)
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GRASIM:ADD:2700 (july2012)
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NTPC:BUY:153 (july2012)
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NESTLE:SELL:4431 (july2012)
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REC:BUY:183 (july2012)
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SESA GOA:ADD:183 (july2012)
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LNT:ADD:1320 (july2012)
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drreddy:buy: 1608 (july2012)
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heromoto:hold: 2072 (july2012)
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hdfcbank:add: 550 (july2012)
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axisbank:buy: 1031 (july2012)
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ril:add: 723 (july2012)
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hdfc:add: 678 (july2012)
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infosys: buy : 2500
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tcs: add : 1213 :WHAT WE SAID LAST QUARTER?
ADD AT 1019 ( RATING UNCHANGED) Average yearly eps growth since last 10 years:28% Growth current year eps v/s last year:8.6 VS 16 % TARGET EPS CURRENT YEAR :68.15 RATING :ADD ADD BELOW: 1213(ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 891 TARGET: 1534 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTED IN 2001: 51607/- |
RESULT : 11-12
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VALID TILL: 31 ST JUNE 12VERY IMP: PLS READ COMMENTS BEFORE TAKING ACTION
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axisbank:add: 1103 (MAY2012)
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new results:coming soon..............
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icicibank: add:858 (MAY2012)
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maruti: sell:1239 (MAY2012)
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NESTLE: SELL:4938 (MAY2012)
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IDEA: SELL:83(MAY2012)
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LICHF: SELL:257 (MAY2012)
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YESBANK: ADD:360(MAY2012)
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wipro: ADD:450 (MAY2012)
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STERLITE IND: ADD:108 (MAY2012)
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PETRONET LNG: ADD:147 (MAY2012)
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SESA GOA: ADD:183 (MAY2012)
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ACC: HOLD :1209 (MAY2012)
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ULTRATECH: SELL :1467 (MAY2012)
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TCS: ADD: 1059 (MAY2012)
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GUJ AMBUJA CEM: SELL: 161 (MAY2012)
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HCLTEC: ADD: 500 (MAY2012)
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CAIRN : ADD: 347 (MAY2012)
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RIL: ADD: 731.5 (MAY2012)
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HDFCBANK:HOLD: 550 (MAY2012)
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INFOSYS: ADD: 2403 (MAY2012)
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IDBI: ADD: 106 (MAY2012)
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RESULTS-3RD QTR-11-12 |
VALID TILL: 31ST MARCH2012 |
TELCO: BUY: 273 (FEB2012)
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CAIRN: BUY: 302 (FEB2012)
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JPASS: ADD: 79 (FEB2012)
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SBI: SELL: 2129 (FEB2012)
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HDFCBANK: ADD: 483 (JAN2012)
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ONGC: ADD : 282 (JAN2012)
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ITC: SELL: 208 (JAN2012)
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MARUTI : SELL 1268 (JAN2012)
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reliance: ADD : 800(JAN2012)
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bhel: buy 276 (jan2012)
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ICICIBANK: ADD : 887 (JAN2012)
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LNT: ADD : 1387(JAN2012)
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SESA GOA: ADD : 200 (JAN2012)
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TCS: HOLD: 1099 (JAN2012)
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INFOSYS: ADD : 2588 (JAN2012)
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HDFC : HOLD : 688 (JAN2012)
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JPPOWER: 37: ADD: (NOV11)Average yearly growth since last 4 years:17.86% Growth current year v/s last year: 98%
TARGET EPS CURRENT YEAR :1.62 RATING :ADD ADD BELOW: 37 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:17.28 TARGET: 56 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2006 : 13703/- |
EDUCOM: 242: ADD: (NOV11)Average yearly growth since last 4 years:78% Growth current year v/s last year: -14%
TARGET EPS CURRENT YEAR :30.53 RATING :ADD ADD BELOW: 242 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:NA TARGET: 501 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2006 : 65299/- |
REL CAPITAL: 359: SELL: (NOV11)Average yearly growth since last 10 years:39.72% Growth current year v/s last year: -37%
TARGET EPS CURRENT YEAR :7.47 RATING :SELL ADD BELOW: 168 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:85 TARGET: 251 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 96160/- |
RCOM: HOLD : 84 (NOV11)Average yearly growth since last 4 years:9.22% Growth current year v/s last year: -21.47%
TARGET EPS CURRENT YEAR :5.12 RATING :HOLD ADD BELOW: 55 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:NA TARGET: 100 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2006 : 4506/- |
LANCO INF : 15.2 : SELL (NOV11)Average yearly growth since last 5 years: 15.42% Growth current year earning growth v/s last year: -114%
TARGET EPS CURRENT YEAR : -0.27 RATING :SELL ADD BELOW: 13 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:AVOID TARGET: NA IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2005 : 9650/- |
HDIL: 91 : HOLD : (NOV11)Average yearly growth since last 4 years: -22% Growth current year earning growth v/s last year: -16%
TARGET EPS CURRENT YEAR : 17.75 RATING :HOLD ADD BELOW: 87 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:AVOID TARGET: 227 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2005 : 2402/- |
DLF: 234 : HOLD: (10NOV11)Average yearly growth since last 5 years: -36.73% Growth current year v/s last year: -6%
TARGET EPS CURRENT YEAR : 9.08 RATING :HOLD ADD BELOW: 224 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:121 TARGET: 326 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2005 : 4628/- |
RELINFRA: 469 : BUY: (10NOV11)Average yearly growth since last 10 years:22.6% Growth current year v/s last year: 1.4%
TARGET EPS CURRENT YEAR :62.92 RATING :BUY ADD BELOW: 1092 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:649 TARGET: 1535 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 30054/- |
SBI: HOLD : 1863: (10NOV11)Average yearly growth since last 10 years: 16.87% Growth current year v/s last year: 2.4%
TARGET EPS CURRENT YEAR :172.26 RATING :HOLD ADD BELOW: 1476 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:979 TARGET: 1974 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 120116/- |
HINDALCO: ADD: 134.5 (10NOV11)Average yearly growth since last 10 years: 57.67% Growth current year v/s last year: 23.18%
TARGET EPS CURRENT YEAR :13.76 RATING :ADD ADD BELOW: 163 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:92 TARGET: 234 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 21697/- |
IDFC : ADD : 123 : (10NOV11)Average yearly growth since last 5 years: 20.85% Growth current year v/s last year: 7.9%
TARGET EPS CURRENT YEAR : 9.46 RATING :ADD ADD BELOW: 190 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:106 TARGET: 274 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2005 : 24649/- BOB: 800 : HOLD :(NOV11)Average yearly growth since last 10 years: 33% Growth current year v/s last year: 3.8%
TARGET EPS CURRENT YEAR : 126.23 RATING :HOLD ADD BELOW: 762(ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:494 TARGET: 1030 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 235294/- |
TISCO: add : (10NOV11)Average yearly growth since last 10 years: 135% Growth current year v/s last year: -26.5%
TARGET EPS CURRENT YEAR : 72.77 RATING :add ADD BELOW: 560 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:345 TARGET: 775 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 105647/- JAIN IRR : ADD : 111 (NOV11)Average yearly growth since last 10 years: 43% Growth current year v/s last year: -7.9%
TARGET EPS CURRENT YEAR : 6.79 RATING :ADD ADD BELOW: 133 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:82 TARGET: 186 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 698113/- |
icici bank: add : 885 : (nov11)Average yearly growth since last 10 years: 20.58% Growth current year v/s last year: 8.3%
TARGET EPS CURRENT YEAR : 57.99 RATING:ADD ADD BELOW: 994 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:605 TARGET: 1383 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 85206.5/- |
WIPRO : BUY : 373 (nov11)Average yearly growth since last 10 years: 22.44% Growth current year v/s last year: 0.5%
TARGET EPS CURRENT YEAR :21.84 RATING: BUY ADD BELOW: 707 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:402 TARGET: 1013 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 25337/- |
ONGC: ADD: 278 : (4NOV11)Average yearly growth since last 10 years: 16.6% Growth current year v/s last year: 31%
TARGET EPS CURRENT YEAR : 30.53 RATING:ADD ADD BELOW: 288 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:204 TARGET: 372 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 175210/- |
BHARTI: 398 : SELL: (4NOV11)Average yearly growth since last 5 years: 33% Growth current year v/s last year: -18.19%
TARGET EPS CURRENT YEAR : 13.04 RATING:SELL ADD BELOW: 293 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:196 TARGET: 390 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 385472.15/- |
DRREDDY: 1579: BUY: (26OCT11)Average yearly growth since last 10 years: 36.6% Growth current year v/s last year: 6.6%
TARGET EPS CURRENT YEAR : 69.6 RATING:BUY ADD BELOW: 2368 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:1673 TARGET: 3063 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 60218.3/- |
STER IND: 121 : ADD (27OCT11)Average yearly growth since last 10 years:122% Growth current year v/s last year: 12.3%
TARGET EPS CURRENT YEAR : 16.85 RATING:ADD ADD BELOW: 192 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:96 TARGET: 288 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 1180487.8/- |
SESA GOA: 206 : ADD : (27OCT11)Average yearly growth since last 10 years: 118% Growth current year v/s last year: -20%
TARGET EPS CURRENT YEAR : 39.19 RATING:ADD ADD BELOW: 301 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 152 TARGET: 450 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 2192207.7/- |
ITC: 211 SELL: (26OCT11)Average yearly growth since last 10 years: 17.61% Growth current year v/s last year: 15.31%
TARGET EPS CURRENT YEAR : 7.53 RATING:SELL ADD BELOW: 145 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY:107 TARGET: 184 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 129183.6/- |
LAR TOU : 1451 : HOLD: (22OCT11)Average yearly growth since last 10 years: 28.72%
Growth current year v/s last year: 2.2% TARGET EPS CURRENT YEAR : 73.99 RATING: HOLD ADD BELOW: 1449 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 853 TARGET: 2045 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 409203/- |
maruti suz: 1128 : add (29oct11)Average yearly growth since last 10 years: 23.88%
Growth current year v/s last year: -11.5% TARGET EPS CURRENT YEAR : 72.97 RATING: ADD ADD BELOW: 1165 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 788 TARGET: 1543 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 72261/- |
idea: 94 : sell : (22oct11)Average yearly growth since last 4 years: 11%
Growth current year v/s last year: 13.9% TARGET EPS CURRENT YEAR : 2.34 RATING: sell ADD BELOW: 67 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 49 TARGET: 85.5 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2006 : 11190.47/- |
jsw steel: 583 : add : (22oct11)Average yearly growth since last 10 years: 5.02%
Growth current year v/s last year: - 13% TARGET EPS CURRENT YEAR : 73.53 RATING: ADD ADD BELOW: 668 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 432 TARGET: 904 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 191147.5/- |
axis bank: 1124 : add: (22oct11)Average yearly growth since last 10 years: 30%
Growth current year v/s last year: 10.98% TARGET EPS CURRENT YEAR : 90.75 RATING: add ADD BELOW: 1506 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 938 TARGET: 2076 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 59470/- |
asian paint: 3015 : sell : (22oct11)Average yearly growth since last 10 years: 39%
Growth current year v/s last year: 4.68% TARGET EPS CURRENT YEAR : 92.02 RATING: sell ADD BELOW: 1866 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 1326 TARGET: 2405 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 220609/- |
power grid: 99: add: (22oct-11)Average yearly growth since last 3 years: 19%
Growth current year v/s last year: - 0.5% TARGET EPS CURRENT YEAR : 6.1 RATING: add ADD BELOW: 120 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 94 TARGET: 149 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2007 : 12375/- |
grasim: add: 2291 : (22oct11)Average yearly growth since last 10 years: 28%
Growth current year v/s last year: 11.89% TARGET EPS CURRENT YEAR : 278 RATING: add ADD BELOW: 2667 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 1791 TARGET: 3544 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 142298/- |
ULTRATEC: HOLD: 1111 : (21OCT-11)Average yearly growth since last 6 years: 19.4%
Growth current year v/s last year: 18.55% TARGET EPS CURRENT YEAR : 72.8 RATING: HOLD ADD BELOW: 838 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 563 TARGET: 1115 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2004 : 89272/- |
YES BANK: ADD : 285 : (21OCT-11)Average yearly growth since last 2 years: 44.55%
Growth current year v/s last year: 15.25% TARGET EPS CURRENT YEAR : 24.34 RATING: ADD ADD BELOW: 399 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 224 TARGET: 574 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2005 : 50666/- |
BAJAJ AUTO: 1616 : HOLD : (OCT-11)Average yearly growth since last 3 years: 95%
Growth current year v/s last year: 5.45% TARGET EPS CURRENT YEAR : 125.91 RATING: HOLD ADD BELOW: 1501 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 908 TARGET: 2093 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2008 : 109689/- |
EXIDE : 129 : SELL: (OCT-11)Average yearly growth since last 10 years: 33.87%
Growth current year v/s last year: - 26.51% TARGET EPS CURRENT YEAR : 5.35 RATING: SELL ADD BELOW: 77.5 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 50.6 TARGET: 104 IN 12 MONTHS TODAY'S VALUE OF 10000 INVESTMENT IN 2000 : 645000/- |
CAIRN : BUY : (0CT-11) : 293Average yearly growth since last 2 years: 225%
Growth current year v/s last year: 25.51% TARGET EPS CURRENT YEAR : 41.87 RATING: BUY BUY BELOW: 293 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: BELOW 293 , ADD BELOW : 398 TARGET: 502 IN 12 MONTHS |
IDBI: ADD : 105 : (OCT-11)Average yearly growth since last 2 years: 19.94%
Growth current year v/s last year: 2.36% TARGET EPS CURRENT YEAR : 17.81 RATING: ADD ADD BELOW: 146 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 81.7 TARGET: 211 IN 12 MONTHS |
infosys: add: 2600 (12oct)Average yearly growth since last 10 years: 23.19%
Growth current year v/s last year: 5.93% TARGET EPS CURRENT YEAR : 126.48 RATING: ADD ADD BELOW: 3570 (ADD SMALL QUANTITY AT EVERY 10% DIP) BUY: 2330 TARGET: 4809 IN 12 MONTHS TCS: HOLD: 1125 (18-oct-11)
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lic housin: sellResult announced by lic hf shows growth. company is growing by 22% y-o-y. currently its trail eps is 20.75 which means that it is trading at 11 p/e multiple. Historical lic trade at 4 & 8.98 p/e multiple in bear and bull market respectively. so it clearly show that lic on its upper channel. little negative news on lic can damage it rate drasticaly. so SELL lic if you already hold and start buying when it goes below 186.
sector: housing finance. rating: sell. target: 186 |
Ril: ADD AT CMP:867 (16oct11)
Average yearly growth since last 10 years: 24%
Growth current year v/s last year: 7.08%
TARGET EPS CURRENT YEAR : 72.6
RATING: ADD
ADD BELOW: 1064 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 721
TARGET: 1408 IN 12 MONTHS
Growth current year v/s last year: 7.08%
TARGET EPS CURRENT YEAR : 72.6
RATING: ADD
ADD BELOW: 1064 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 721
TARGET: 1408 IN 12 MONTHS
HDFC: HOLD: 672 (17-0-2011)
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HDFC BANK : ADD: 487 : (OCT11)
Average yearly growth since last 10 years: 26.37%
Growth current year v/s last year: 7.9%
TARGET EPS CURRENT YEAR : 24.14
RATING: ADD
ADD BELOW:548 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 403
TARGET: 693 IN 12 MONTHS
Growth current year v/s last year: 7.9%
TARGET EPS CURRENT YEAR : 24.14
RATING: ADD
ADD BELOW:548 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 403
TARGET: 693 IN 12 MONTHS
JINDAL ST: 516 : HOLD: (OCT2011)
Average yearly growth since last 10 years:48%
Growth current year v/s last year: -0.8
TARGET EPS CURRENT YEAR : 40.39
RATING: HOLD
ADD BELOW:370 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 180
TARGET: 560 IN 12 MONTHS
Growth current year v/s last year: -0.8
TARGET EPS CURRENT YEAR : 40.39
RATING: HOLD
ADD BELOW:370 (ADD SMALL QUANTITY AT EVERY 10% DIP)
BUY: 180
TARGET: 560 IN 12 MONTHS
Dr reddy lab: BUY
Quarterly result announced by Dr reddy shows signification growth. company is growing by 28% y-o-y. currently its trading at the p/e of 23. historicaly company trade at the the p/e of 25 & 45 p/e in bear and bull market respectively. it shows that as per result company is trading in the lower channel. buy dr reddy at cmp: 1556 for target of 2401 current year.
sector: pharma. rating: buy. target: 2401 current year.
sector: pharma. rating: buy. target: 2401 current year.
SESA GOA: ADD
SESA GOA reported a sluggish quarter. main reason by management is given ban of export of iron ore by karnataka govrt. longterm growth of sesa goa magnificient. its cumulative growth of last 5 years is 53% in pat. right now stock is trading at the p/e of 6.5. its historical p/e in bear and bull martket is 3.7 and 11.7 respectively. it clearly means that at 284 stock is already discounted. don't sell even after sluggish quarter. start buying in small quatity till its below 338. buy agressively if it comes near 165. target current year is 513. sector: metal, rating : ADD. Start buying in small quantity.
KOTAK BANK: ADDKOTAK BANK came with fantastic quartarly result. bank is growing with the growth of 76% per annum. its trail eps 23.6. means it is at the p/e of 20.55. its historic p/e is 14 t o 39 respectively in bear vs bull market. so we can add in our portfoilo buying in small quatity till its below 637. buy agressively whenever it comes near 346 for the target of 929 current year.
sector : private banking. rating: ADD.CMP: 480. BUY IN SMALL QUANTITY BELOW 637. |
OBC: ADD AT CMP 328OBC HAVING STRONG GROWTH OF 35% PAS 10 YEARS. Reproted 57.56 eps as per latest result. it is trading at the p/e of 6.6. we can add in our portfolio and buy at every dip for the target of 534. its historic p/e in bear and bull market respectively is 4.4 and 9.3 respectively.
sector: psu bank. rating: ADD. at every dip for the target of 534. |
BOB: HOLD, SEC:BANK,CMP: 865BOB growing with the strong y-o-y growth of 31% per annum. it is currnetly trading at the p/e of 7. its historical p/e in bear & bull market is about 4.41 and 9.92 respectively. so as we can see we should HOLD it in our portfolio at cmp: 865. and start buying in small quantity below 847 at every dips. strong opportunity can be caught if it goes till 540. target is 1147 for current year.
rating: HOLD. |
PFC. BUY. SEC:PSU. CMP: 180PFC GROWING with the y-o-y growth of 26% per annum. these infra finance company can be BUY from current levels. at cmp it is traiding at the p/e of 7 and its historic p/e in bear and bull market is 8 and 16.5 respectively. wo we can buy from current levels at cmp; 180 for the target of 377 current year.
rating: BUY. TARGET: 377. |
