Marginal move up despite all round fiery move in the market. Could be due to excessive exposure to sugar and cement which were subdued this week and/or the nature of small and mid-caps in the portfolio vs the large cap move in the market. Win Loss ratios stay healthy for now.. Wins Avg Losses … Continue reading Disappointing week on mi50….
Added 5/20/2016 RUSHIL 332.00 Removed 5/20/2016 BBL 853.48 Net loss on this position is 3.01% Overall mi50 closed the week ended 20 May 2016 at a gain of 8.62% #Wins : #Losses is 31:22 Avg win : Avg loss is 17.4% : -4.6% So far so good. Enjoy your weekend! … Continue reading Down week and one change…
Choppy markets going nowhere.....mi50 merrily chugging along..... Gaining @11.3% vs Nifty@1.7% and CNX500 @2.6% so far. See you on the weekend!
5/13/2016 GULFOILLUB 550.77
Glaxo Limited got removed from the portfolio today @ 3390 resulting in loss of -9.43% on that position. 51 trades since inception, advance decline is at 31:20 and avg gain is 17.60% vs avg loss of -2.77%. The parameters look good and much above expectation so far. Sugar and cement are the main drivers as … Continue reading Week ended at +9.84%..
in mi50 components. Stocks moved from 215 to 430 in 40 days!