STOCK OPTION  

Short Plan

15,000/-

  • + GST @ 18%
  • 3 Months
Medium Plan

30,000/-

  • + GST @ 18%
  • 6 Months
Package Details

EP-Stock Options Package takes advantage of the high volatility in the market, to generate profits with low upfront financial commitment. Here you will receive around 2-4 intraday calls in Options Segment. High accuracy level is maintained in this package.

What you get?
  • Herein we will provide you around 2-4 Option Segment  Calls Daily.
  • Follow Ups & All Important News & Information.
  • Nifty Review, Resistance & Support.
  • World Market, Singapore Nifty & Other Updates.
  • Pre-Market trend of Sensex and Nifty.

Medium of calls:
India: Through SMS
Outside India: Through Live Messenger

Trader Profile:
Full time / Part time traders can subscribe this package.
Should execute all the trades on time.
Should have access to Email / Phone
Minimum Investment: Rs.50,000

Terms of Agreement:
Subscribe to this service, only if you agree to the following:

  1. EquityPandit charge fees only for advisory services and the amount you will pay is not for any investment, FD or Demat purpose.
  2. EquityPandit or any of its Executives would not execute the trade on your behalf.
  3. There is huge expenses that is done by the company to provide you high quality services and hence there would be no Refund Possible for the fees you pay.
  4. Though we have highly qualified and experienced team of analysts and we provide research with High Accuracy but we do not guarantee any pre-specified profits in any of our services.
  5. By using this services, you agree that you understand the market risk associated with trading/investing and your capital maybe at risk.

10/100

45,978

30/100

1,37,934

60/120

2,75,868

120/120

5,51,736

Historical Performance (Last 12 Months)

  STOCK OPTION (MAY 2020) PERFORMANCE

MAY 2020

Profit - Loss Summary

STOCK OPTION (MAY 2020)

Summary

STOCK OPTION (MAY 2020)

  • Total Calls (31)
  • Profitable Calls (23)
  • Loss Calls (8)
  • Accuracy (74)%
  • Total Profit  43,055
  • Total Loss  -12,810
  • Net Profit  30,245
# Date Script Type Qty Entry Price Stoploss Target Booked PL
12020-05-29BAJFINANCEBUY250174167.40179.80
167.40
-1,650
22020-05-28HEROMOTOCOBUY200118109.40135
132
2,800
32020-05-27BAJFINANCEBUY250150143.40154.80
154.80
1,200
42020-05-26ESCORTSBUY11003129.4032
32
1,100
52020-05-26BAJFINANCEBUY2506053.4064.80
64.80
1,200
62020-05-22BAJFINANCEBUY2508578.70107
107
5,500
72020-05-21INDIGOBUY3004539.9057
55
3,000
82020-05-21HEROMOTOCOBUY2008476.4094
84
0
92020-05-21BAJFINANCEBUY250114106.40118.80
106.40
-1,900
102020-05-20HEROMOTOCOBUY2008879.7094
94
1,200
112020-05-19ESCORTSBUY11004442.4045
45
1,100
122020-05-19BAJFINANCEBUY250185177.40189.80
189.80
1,200
132020-05-19ESCORTSBUY110040.3038.7041.30
38.70
-1,760
142020-05-18BAJFINANCEBUY250141134.40157
157
4,000
152020-05-14MCDOWELL-NBUY12503230.7033
33
1,250
162020-05-14BAJFINANCEBUY250183176.40195
192
2,250
172020-05-13BAJFINANCEBUY250188181.40192.80
181.40
-1,650
182020-05-13ASIANPAINTBUY3005956.4061
59
0
192020-05-12MUTHOOTFINBUY7504138.9045
43.50
1,875
202020-05-12ESCORTSBUY11004038.4041
40.95
1,045
212020-05-12MARUTIBUY100277269.40283
269.40
-760
222020-05-11RELIANCE 1620 PEBUY5007571.7077.40-87
71.70
-1,650
232020-05-11AUROPHARMA 660 CEBUY10004745.4048.20-55
45.40
-1,600
242020-05-08RELIANCE 1560 CELONG5007470.4078
76.40
1,200
252020-05-08BAJFINANCE 2100 PUTLONG250184178.40195
191.50
1,875
262020-05-07BPCL 330 PUTLONG18002321.9025
23
0
272020-05-07PVRLONG4009691.40104
91.40
-1,840
282020-05-06BAJFINANCE 2000 CALLLONG250215208231
226
2,750
292020-05-05HDFCBANK 940 PUTLONG500585563
61
1,500
302020-05-04HEROMOTO 2000 PUTLONG20010698.40124
121.80
3,160
312020-05-04BAJFINANCE 2200 PUTLONG250240233.40257
255.40
3,850

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Investment/Trading in markets is subject to market risk.