More Related Content Similar to capitalaim ......bonzer equity (20) capitalaim ......bonzer equity1. DATE SCRIPT SHARE POSITION LEVEL PARTIAL TARGET
26-Nov-13 ACC 250 BUY 1080 1092.5 1102
25-Nov-13 BANKBARODA 500 BUY 627 633.2 639
20-Nov-13 DLF 1000 BUY 154 157
20-Nov-13 ABIRLANUVO 250 SELL 1206 1180
19-Nov-13 M&M 250 BUY 953 973
19-Nov-13 LUPIN 250 SELL 877
14-Nov-13 ASIANPAINT 1250 SELL 521
CAPITAL AIM
2. TRACKSHEET NOVEMBER INVESTMENT
PROFIT
TOTAL PROFIT THIS MONTH Rs. 17049 % OF RETURN
EXIT AT SL TOTAL PROFIT OR LOSS (Rs.)
1092.5 1062 3187
637 617 5000
151.5 151.5 -2500
1175.65 1220 7587
934 934 -4750
861.4 895 3900
509 531 4625
CAPITAL AIM
6. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
31-Dec-13 BANKINDIA 2000 SELL 235.6 230.6 233.2 748
30-Dec-13 KOTAKBANK 500 SELL 735 719 735 748
26-Dec-13 PFC 2000 BUY 166.3 169.8 169.2 162.8
23-Dec-13 TATAGLOBAL 2000 BUY 154.8 158.5 156.65 151.9
19-Dec-13 RANBAXY 500 BUY 446.5 456 455.9 440
19-Dec-13 INFY 125 BUY 3484 3560 3547.7 3434
18-Dec-13 LT 375 BUY 1077 1097 1099 1060
17-Dec-13 TCS 125 BUY 2053 2100 2071.65 2015
16-Dec-13 PFC 2000 BUY 149.3 152.5 154.3 146.8
13-Dec-13 BHARATFORG 1000 SELL 309 303 306.3 313
13-Dec-13 MCDOWELL 125 BUY 2559 2610 2565 2520
12-Dec-13 TATASTEEL 1000 SELL 415.5 407.5 413 422
11-Dec-13 ADANIENT 1000 BUY 273.4 267.5 267.5 276
10-Dec-13 MARUTI 250 BUY 1779 1813 1750
6-Dec-13 UPL 2000 BUY 168.4 172 172.3 165.5
4-Dec-13 ALBK 2000 SELL 91 89 90 92.8
3-Dec-13 HINDALCO 2000 BUY 126.1 128.6 127.5 124
2-Dec-13 BANKBARODA 500 BUY 662 678.5 649
CAPITAL AIM
7. TRACKSHEET DECEMBER INVESTMENT 70000
PROFIT 58144
58144 % OF RETURN 83.06286
TOTAL PROFIT OR LOSS (Rs.)
4800
0
5800
3600
4700
7963
8250
2331
10000
2700
750
2500
5900
-7250
7800
2000
2800
-6500
8. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
31-Jan-14 JINDALSTEL 1000 SELL 253 247.7 250 256.5
29-Jan-14 PFC 2000 SELL 133.85 130.55 133.55 136.6
28-Jan-14 BATAINDIA 250 SELL 934 912 925.35 950
27-Jan-14 ULTRACEMCO 125 BUY 1699 1638 1628 OPEN 1666
27-Jan-14 HINDALCO 2000 SELL 110.3 107.8 112.3
23-Jan-14 PFC 2000 BUY 145.5 149 COST 142
22-Jan-14 ZEEL 1000 BUY 284.8 292 288.2 279.7
20-Jan-14 RELCAPITAL 1000 SELL 344.5 337.5 346 350
16-Jan-14 GODREJIND 2000 BUY 287.5 294.5 290.9 282
10-Jan-14 FEDERALBANK 4000 SELL 82.7 80.7 77.6 84.2
8-Jan-14 DIVISLAB 250 SELL 1250 1225 1242 1270
7-Jan-14 ADANIENT 2000 SELL 251.5 246 245.2 256
3-Jan-14 UPL 2000 SELL 196.25 191.75 200.1
2-Jan-14 APOLLOTYRE 4000 SELL 105.3 103 102 135.5
1-Jan-14 ARVIND 4000 BUY 138.5 142 140.9 135.5
CAPITAL AIM
9. TRACKSHEET JANUARY 14 INVESTMENT 70000
PROFIT 70287
70287 % OF RETURN 100.41
TOTAL PROFIT OR LOSS (Rs.)
3000
6600
2162
3625
-4000
0
3400
-1500
6800
20400
2000
12600
-7600
13200
9600
10. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
26-Feb-14 LT 250 BUY 1092 1117 1101 1072
24-Feb-14 BIOCON 1000 BUY 446.3 457 OPEN 432
21-Feb-14 RELCAPITAL 1000 BUY 320 327.5 325.9 314
19-Feb-14 LT 250 BUY 1025 1050 1033.45 1005
18-Feb-14 TATASTEEL 1000 BUY 381.5 391.5 375
18-Feb-14 BIOCON 1000 BUY 439.4 448.4 445.3 431.5
14-Feb-14 IDFC 4000 SELL 95.1 92.6 94.1 97.1
13-Feb-14 IDEA 2000 SELL 132 128.25 134.75
12-Feb-14 HINDALCO 2000 SELL 104.85 102.35 103.5 106.75
11-Feb-14 ABIRLANUVO 250 SELL 1097 1072 1077 1019
10-Feb-14 VOLTAS 4000 BUY 119.5 122.5 122.35 117.3
5-Feb-14 IOC 1000 SELL 242 236 236.35 246
CAPITAL AIM
11. TRACKSHEET FEBRUARY 14 INVESTMENT 70000
PROFIT 34413
34413 % OF RETURN 49.16143
TOTAL PROFIT OR LOSS (Rs.)
2250
5900
2113
-6500
5900
4000
-4000
2700
5000
11400
5650
12. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
27-Mar-14 RELCAPITAL 1000 BUY 337.5 345.5 344.7 331.5
26-Mar-14 RELINFRA 1000 BUY 425 435 430.95 417
25-Mar-14 NMDC 2000 BUY 136.7 140.2 140.2 133.9
21-Mar-14 HCLTECH 250 BUY 1420 1448 1448.95 1400
20-Mar-14 VOLTAS 4000 BUY 150.45 154 154.3 147
19-Mar-14 SSLT 2000 BUY 175.65 181 178.4 172.65
18-Mar-14 GAIL 1000 BUY 380 390 373
14-Mar-14 LT 250 SELL 1213 1181 1235
12-Mar-14 ACC 250 SELL 1222 1192 1208 1245
10-Mar-14 RELINFRA 1000 BUY 411.35 421.35 440 403.35
7-Mar-14 JINDALSTEL 1000 BUY 257 263.5 364.8 252
7-Mar-14 ORIENTBANK 2000 BUY 191 196 196.5 187.5
6-Mar-14 M&M 250 BUY 961.5 985.5 991.5 941.5
6-Mar-14 YESBANK 1000 BUY 336.25 344.65 345 330.05
4-Mar-14 ONGC 1000 BUY 291.75 299 295.35 386
CAPITAL AIM
13. TRACKSHEET MARCH 14 INVESTMENT 70000
PROFIT 106587
106587 % OF RETURN 152.2671
TOTAL PROFIT OR LOSS (Rs.)
7200
5950
7000
7237
15400
5500
-7000
-5500
3500
28650
7800
11000
7500
8750
3600
14. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
30-Apr-14 BAJAJAAUTO 125 SELL 1940 1890 1890 1980
23-Apr-14 GAIL 1000 BUY 385.65 395.65 388.8 378.65
21-Apr-14 PFC 2000 BUY 192.75 197.75 197.3 188
21-Apr-14 SAIL 8000 BUY 72.35 74.15 73.7 70.85
21-Apr-14 RECLTD 2000 BUY 250.1 256.35 245.15
17-Apr-14 ORIENTBANK 2000 BUY 219 224 224 215
16-Apr-14 EXIDEIND 2000 BUY 128.5 131.7 130.1 125.5
11-Apr-14 IDFC 4000 BUY 125.15 128.35 126.5 122.5
10-Apr-14 NMDC 2000 BUY 150.85 154.55 153 149
9-Apr-14 M&M 250 BUY 1026 1051 1030 1005
7-Apr-14 JSWSTEEL 500 BUY 1077.5 1102.5 1110 1000
3-Apr-14 HDIL 8000 BUY 59.3 60.8 60.8 58.1
2-Apr-14 TATASTEEL 1000 BUY 404.5 412.5 413.65 386
CAPITAL AIM
15. TRACKSHEET APRIL 14 INVESTMENT 70000
PROFIT 85650
85650 % OF RETURN 122.3571
TOTAL PROFIT OR LOSS (Rs.)
6250
3150
9100
10800
-4950
10000
3200
5400
4300
1000
16250
12000
9150
16. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
29-May-14 BHEL 2000 BUY 250 243 242.4 256
29-May-14 BHEL 2000 BUY 242.3 236.3 247.3
28-May-14 CENTURYTEX 1000 SELL 476 64 786
26-May-14 BHEL 2000 BUY 279.2 286.2 292.5 273.5
23-May-14 ALBK 4000 BUY 124.2 127.2 129.9 121.7
22-May-14 GAIL 1000 BUY 419.5 429.5 429.7 411.5
21-May-14 IDBI 4000 BUY 88.8 91 90.8 87.5
20-May-14 SAIL 4000 BUY 87.7 90 93.2 86.4
19-May-14 ALBK 4000 BUY 114.5 117.5 118.8 112
15-May-14 EXIDEIND 2000 BUY 123.25 126.25 125.8 120.75
14-May-14 BHARTIARTL 1000 BUY 324 331.5 333 317.6
14-May-14 SUNTV 1000 BUY 376 386 381 368
13-May-14 CANBK 1000 BUY 307.8 315 327.8 295
13-May-14 HINDZINC 2000 BUY 127.85 130.85 130.85 125.25
12-May-14 IOC 1000 BUY 292 299.5 301 286
9-May-14 IDEA 2000 BUY 132.35 135.85 137 129.35
6-May-14 APOLLOTYRE 2000 BUY 167.75 171.75 170.65 164.75
2-May-14 HEXAWARE 2000 SELL 150 146.3 148.65 153
2-May-14 HEXAWARE 2000 SELL 148.7 145 151
CAPITAL AIM
17. TRACKSHEET MAY 14 INVESTMENT 70000
PROFIT 167900
167900 % OF RETURN 239.8571
TOTAL PROFIT OR LOSS (Rs.)
15200
-10000
-10000
26600
22800
10200
8000
22000
17200
5100
9000
5000
20000
6000
9000
9300
5800
2700
-6000
18. DATE SCRIPT SHARE POSITION LEVEL TARGET BOOK PROFIT AT SL
25-Jun-14 COALINDIA 1000 BUY 396 406 400.95 388
23-Jun-14 BPCL 1000 BUY 549.5 562 562.3 539.5
20-Jun-14 IDEA 2000 BUY 138.3 141.8 139.95 135.3
17-Jun-14 PTC 4000 BUY 95.3 97.8 96.75 93.2
16-Jun-14 IDEA 2000 BUY 136.5 140 140.1 133.5
12-Jun-14 CENTURYTEX 1000 BUY 558.5 572 564.8 547.5
9-Jun-14 ZEEL 1000 BUY 279 285.5 285.5 274
6-Jun-14 CANBK 1000 BUY 464.7 476.3 471.15 455
5-Jun-14 ULTRACEMCO 125 BUY 2572 2637 2642 2510
4-Jun-14 ADANIENT 1000 BUY 491.05 503.55 505.4 484
4-Jun-14 JUBLFOOD 250 BUY 1263 1293 1300 1237
2-Jun-14 ANDHRABANK 4000 BUY 99.8 102.3 102.9 97.7
2-Jun-14 TATAMTRDVR 2000 SELL 263.1 269.7 271.75 257.1
CAPITAL AIM
19. TRACKSHEET JUNE 14 INVESTMENT 70000
PROFIT 115350
115350 % OF RETURN 164.7857
TOTAL PROFIT OR LOSS (Rs.)
4950
12800
3300
5800
7200
6300
6500
6450
8750
14350
9250
12400
17300
20. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
30-Jul-14 EXIDEIND 2000 7 BUY 164.65 168.65 167.5
28-Jul-14 HEROMOTOCO 125 7 BUY 2588 2648 2622
25-Jul-14 LT 250 7 BUY 1653 1693 1663.7
18-Jul-14 DIVISLAB 250 7 BUY 1482 1517 1496.7
17-Jul-14 ORIENTBANK 1000 7 BUY 295.7 303.2
16-Jul-14 IGL 1000 7 BUY 363 372 376.2
14-Jul-14 RPOWER 4000 7 BUY 93.6 96 96
11-Jul-14 LUPIN 250 7 BUY 1050 1075 1075
10-Jul-14 IOB 4000 7 SELL 72.7 71 69.6
9-Jul-14 CIPLA 1000 7 SELL 442 432 437.5
8-Jul-14 HEROMOTOCO 125 7 BUY 2606 2672
7-Jul-14 NMDC 2000 7 SELL 183.5 178.5 183
3-Jul-14 PFC 2000 7 BUY 321.6 329 326.35
2-Jul-14 HINDZINC 2000 7 BUY 172 176 176
1-Jul-14 SAIL 4000 7 BUY 97.15 99.65 99.65
CAPITAL AIM
21. TRACKSHEET JULY 14
INVESTMENT 500000
%' OF RETURN 104.37
TOTAL PROFIT Rs. 521850
SL TOTAL PROFIT OR LOSS (Rs.)
1620 5700
2500 4250
1620 2675
1454 3675
290 -11200
355 13200
91.5 9600
1030 6250
74 12400
450 4500
2566 -5000
187.5 1000
315.85 9500
168.5 8000
95.15 10000
M
22. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
28-Aug-14 DRREDDY 125 7 BUY 2947 3023 2960
25-Aug-14 INDIACEM 4000 7 BUY 115.3 118.1 117.75
22-Aug-14 ARVIND 2000 7 BUY 259.5 266 274
21-Aug-14 KOTAKBANK 500 7 BUY 1001 1026 1026.5
20-Aug-14 JINDALSTEEL 1000 7 BUY 297.75 305.15 301
19-Aug-14 INDIACEM 4000 7 BUY 117.7 120.7
18-Aug-14 JUBLFOOD 250 7 BUY 1164.5 1193.5 1195.5
14-Aug-14 HINDPETRO 2000 7 BUY 418 428 445
14-Aug-14 APOLLOTYRE 2000 7 BUY 164 160 161.55
13-Aug-14 ULTRACEMCO 125 7 BUY 2628 2693 2725.85
12-Aug-14 SUNPHAMA 500 7 BUY 773 791 784.1
11-Aug-14 ULTRACEMCO 125 7 BUY 2533 2593 2557.75
8-Aug-14 BHARATFORG 1000 4 SELL 751 733 733.65
7-Aug-14 JINDALSTEEL 1000 12 BUY 287.7 295 292
6-Aug-14 ADANIPORTS 2000 7 BUY 292 298.5 296.7
6-Aug-14 VOLTAS 2000 7 BUY 198.25 202.25 200.9
CAPITAL AIM
23. TRACKSHEET AUGUST 14
INVESTMENT 500000
%' OF RETURN 233.99
TOTAL PROFIT Rs. 1169950
SL TOTAL PROFIT OR LOSS (Rs.)
2888 11375
113 68600
254.5 203000
988 89250
292.05 22750
115.5 -61600
1144 54250
410 378000
167.2 34300
2575 85618.75
759 38850
2483 21656.25
763 69400
281 51600
287 65800
194.25 37100
M
24. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
30-Sep-14 FEDERALBANK 4000 4 BUY 127 130.2 129
29-Sep-14 SUNPHARMA 500 4 BUY 828 844 843.5
26-Sep-14 ORIENTBANK 2000 4 BUY 557 5571 579
24-Sep-14 ITC 1000 7 BUY 376.75 385.75 379.8
18-Sep-14 ANDHRABANK 4000 7 BUY 78.5 80.5 81
17-Sep-14 RPOWER 4000 7 BUY 71.75 73.45 74
16-Sep-14 ANDHRABANK 4000 7 BUY 80 82 80.85
15-Sep-14 RELINFRA 500 7 BUY 686.7 703.7 693.8
12-Sep-14 PNB 500 7 BUY 969.7 993.7 992
11-Sep-14 CANBK 1000 7 BUY 413.6 423.6 421.15
10-Sep-14 CIPLA 1000 7 BUY 582 596 611
9-Sep-14 ULTRACEMCO 125 7 BUY 2749 2815
5-Sep-14 INDIACEM 4000 7 BUY 122.2 125.2 124.4
4-Sep-14 DRREDDY 125 7 BUY 3008 3083 3024
3-Sep-14 INDUSINDBANK 500 7 BUY 621 636 636
2-Sep-14 GLENMARK 500 7 BUY 732 750 741.85
1-Sep-14 BHARTIARTL 1000 7 BUY 376.55 385.25 396.7
CAPITAL AIM
25. TRACKSHEET SEPTEMEBER 14
INVESTMENT 500000
%' OF RETURN 205.58
TOTAL PROFIT Rs. 1027900
SL TOTAL PROFIT OR LOSS (Rs.)
124.5 32000
814 31000
542 176000
369.75 21350
76.8 70000
70.35 63000
78.2 23800
671.6 24850
571 78050
403.6 52850
568 203000
2690 -51625
119.7 61600
2959 14000
600 52500
718 34475
369.45 141050
M
26. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
31-Oct-14 CESC 500 7 BUY 667 684 704
31-Oct-14 ALBK 2000 7 BUY 114.5 117 115.85
30-Oct-14 CIPLA 1000 7 BUY 659 674 674
30-Oct-14 COALINDIA 1000 7 BUY 360 369 362.85
29-Oct-14 CROMPGREAV 2000 7 BUY 183.5 188
22-Oct-14 M&M 250 7 BUY 1250 1280 1270
21-Oct-14 TATASTEEL 1000 7 BUY 459.5 468.5 464
20-Oct-14 AXISBANK 1250 7 BUY 417.4 427.4 427.4
16-Oct-14 ABIRLANUVO 250 7 BUY 1650 1690 1672
16-Oct-14 BPCL 500 7 BUY 668 684 682.6
13-Oct-14 BHEL 2000 7 BUY 217.3 222.3 223.5
9-Oct-14 ANDHRABANK 4000 7 BUY 66.5 68.2 68.5
8-Oct-14 ALBK 4000 7 BUY 95.85 98.35 97.15
7-Oct-14 APOLLOTYRE 2000 7 BUY 207.5 211.5 212.4
CAPITAL AIM
27. TRACKSHEET OCTOBER 14
INVESTMENT 500000
%' OF RETURN 143.15
TOTAL PROFIT Rs. 715750
SL TOTAL PROFIT OR LOSS (Rs.)
653 129500
112 18900
648 105000
354 19950
180 -49000
1225 35000
452 31500
409.5 87500
1620 38500
654 51100
213.3 86800
65.2 56000
93.85 36400
204 68600
M
28. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
28-Nov-14 BHARATFORG 250 7 BUY 972.5 996 984.75
24-Nov-14 INDUSINDBK 500 7 BUY 723.25 740.75 709.25
21-Nov-14 M&MFIN 1000 7 BUY 310.4 317.9 305.4
20-Nov-14 CENTURYTEX 500 7 BUY 559 573 545
19-Nov-14 IRB 1000 7 BUY 287.65 291.15
18-Nov-14 PFC 1000 7 BUY 305.65 313.15 310.35
17-Nov-14 ALBK 2000 7 BUY 121 124 124
14-Nov-14 IDFC 2000 7 BUY 156.4 160.4 159.55
14-Nov-14 KTKBANK 2000 7 BUY 137.25 140.75 140.2
13-Nov-14 CESC 500 7 BUY 717.5 737 747
12-Nov-14 EXIDEIND 2000 7 BUY 165 169
11-Nov-14 LICHSGFIN 1000 7 BUY 390 400 399.15
7-Nov-14 LUPIN 250 7 BUY 1400 1435 1436
5-Nov-14 AUROPHARMA 250 7 BUY 1018 1043 1049
3-Nov-14 UCOBANK 4000 7 BUY 89.3 91.6 90.15
3-Nov-14 BPCL 500 7 BUY 732 750 744.6
CAPITAL AIM
29. TRACKSHEET NOVEMBER 14
INVESTMENT 500000
%' OF RETURN 62.7375
TOTAL PROFIT Rs. 313687.5
SL TOTAL PROFIT OR LOSS (Rs.)
952.5 21437.5
709.25 -49000
305.4 -35000
545 -49000
281.15 -45500
301.35 32900
118.5 42000
153.2 44100
134.25 41300
703.5 103250
162 -42000
382 64050
1370 63000
998 54250
87.4 23800
718 44100
M
30. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
31-Dec-14 HINDALCO 2000 4 BUY 159.15 163.05 162.15
30-Dec-14 ARVIND 1000 4 BUY 283 290.5 286.2
29-Dec-14 HINDALCO 2000 4 BUY 156 159.8 158.8
26-Dec-14 IRB 1000 4 SELL 250.4 244 247.65
22-Dec-14 HINDZINC 2000 4 BUY 166.8 168.9 163.2
18-Dec-14 SUNPHARMA 250 4 SELL 811 791 800
17-Dec-14 GODREJIND 1000 4 SELL 275.5 269 271.2
17-Dec-14 MARUTI 125 4 SELL 3285 3205 3261
16-Dec-14 BHARTIARTL 1000 4 BUY 347 355 352.5
15-Dec-14 JUSTDIAL 250 4 BUY 1313 1345.5 1326.8
11-Dec-14 VOLTAS 1000 4 SELL 267 260.5 272.5
9-Dec-14 BPCL 500 4 SELL 690 472.5 674.5
8-Dec-14 CROMPGREAV 2000 4 SELL 189.5 185 184
5-Dec-14 CANBK 500 4 BUY 426.3 436.3 433.5
2-Dec-14 BHEL 1000 4 BUY 274.7 281.2 281.2
CAPITAL AIM
31. TRACKSHEET DECEMBER 14
INVESTMENT 200000
%' OF RETURN 105.4
TOTAL PROFIT Rs. 210800
SL TOTAL PROFIT OR LOSS (Rs.)
156.15 24000
277 12800
152.8 22400
255.5 11000
163.2 -28800
828 11000
284 17200
3325 12000
339.5 22000
1274 13800
272.5 -22000
705 31000
193.5 44000
418.3 14400
267.2 26000
M
32. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
30-Jan-15 IDFC 2000 4 BUY 176 180.5 178.65
30-Jan-15 PETRONET 2000 4 BUY 192.4 197.4 OPEN
23-Jan-15 SIEMENS 250 4 BUY 1024 1049 1042
22-Jan-15 HCLTECH 125 4 BUY 1673 1713 1641
21-Jan-15 GODREJIND 1001 4 BUY 314.5 322 317.9
16-Jan-15 VOLTAS 1000 4 BUY 256.25 262.65 258.8
15-Jan-15 BANKBARODA 250 4 BUY 1106 1133 1137
14-Jan-15 CENTYRYTEX 500 4 BUY 554.6 567 567.5
12-Jan-15 ANDHRABANK 4000 4 BUY 94.5 97.8 95.1
9-Jan-15 M&MFIN 1000 4 BUY 324.9 332.4 328.05
8-Jan-15 TATAMOTORS 500 4 BUY 510 522.5 513.7
7-Jan-15 CESC 500 4 SELL 664 647 656.35
7-Jan-15 APOLLOTYRE 1000 4 SELL 221.7 216.7 216.7
2-Jan-15 YESBANK 500 4 BUY 777 795 794.5
CAPITAL AIM
33. TRACKSHEET JANUARY 15
INVESTMENT 200000
%' OF RETURN 86.5568
TOTAL PROFIT Rs. 173113.6
SL TOTAL PROFIT OR LOSS (Rs.)
172.1 21200
184
1003 18000
1641 -16000
304.5 13613.6
251.65 10200
1170 31000
536 25800
92.5 9600
318.4 12600
500 7400
678 -15300
226.2 20000
763 35000
M
34. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
28-Feb-15 IRB 1000 4 BUY 261 266 264
27-Feb-15 TATACOMM 1000 4 SELL 398.5 388.5 393.5
24-Feb-15 CROMPGREAV 2000 4 SELL 175.8 172 174.2
18-Feb-15 CIPLA 500 4 BUY 681.25 696.25 685
13-Feb-15 UNIONBANK 1000 6 BUY 183.3 187.8 186
12-Feb-15 AMTAKAUTO 2000 4 BUY 157.7 161.5 169.8
11-Feb-15 CROMPGREAV 1000 6 BUY 165.7 169.8 169.8
10-Feb-15 CENTURYTEX 500 4 BUY 504.5 517 494.5
9-Feb-15 MOTHERSUMI 500 4 BUY 443 453 447
6-Feb-15 BIOCON 500 4 SELL 415.8 405.8 411.8
5-Feb-15 BANKINDIA 1000 4 BUY 259.25 265.75 253
5-Feb-15 SAIL 4000 4 BUY 74.75 76.65 71.5
4-Feb-15 M&MFIN 1000 4 BUY 260.5 267 264.85
3-Feb-15 RELCAPITAL 500 4 BUY 487.5 510.7 497.85
3-Feb-15 COALINDIA 1000 4 BUY 360.5 368.5 368.5
3-Feb-15 RELCAPITAL 500 4 BUY 498.7 510.7 488.7
2-Feb-15 RELINFRA 500 4 BUY 517.8 530.3 525.25
CAPITAL AIM
35. TRACKSHEET FEBUARY 15
INVESTMENT 200000
%' OF RETURN 86.95
TOTAL PROFIT Rs. 173900
SL TOTAL PROFIT OR LOSS (Rs.)
256.5 12000
409.5 20000
179.3 12800
669.25 7500
179.4 16200
154.5 96800
162.5 24600
494.5 -20000
435 8000
423.8 8000
253 -25000
71.5 -52000
255 17400
477.5 20700
354 32000
488.7 -20000
507.8 14900
M
36. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
27-Mar-15 IDFC 2000 4 SELL 164.35 160.45 162.5
25-Mar-15 AUROPHARMA 250 4 BUY 1185 1215 1161
24-Mar-15 ACC 250 3 BUY 1597 1637 1565
23-Mar-15 GAIL 1000 4 BUY 383.75 393.75 391.5
19-Mar-15 CIPLA 500 4 BUY 725 742.5 711
18-Mar-15 STAR 250 4 BUY 1143 1168 1166.4
18-Mar-15 ALBK 2000 4 BUY 109.35 111.85 110.4
17-Mar-15 IBULHSGFIN 500 4 SELL 579.5 591.5 587.5
16-Mar-15 TVSMOTORS 1000 4 SELL 274 276.5 270.5
12-Mar-15 RCOM 2000 8 BUY 67.35 68.85 69.3
11-Mar-15 MOTHERSUMI 500 4 SELL 476 466 484
10-Mar-15 LUPIN 250 4 BUY 1894 1940 1920
9-Mar-15 MOTHERSUMI 500 4 BUY 492 504.5 497.7
5-Mar-15 HCLTECH 250 4 BUY 2063 2113 2090
4-Mar-15 RELINFRA 500 4 BUY 505.35 517.85 511
3-Mar-15 SUNPHARME 250 4 BUY 948.5 971.5 968.5
2-Feb-15 INDIACEM 2000 4 BUY 103.4 105.9 106
CAPITAL AIM
37. TRACKSHEET MARCH 15
INVESTMENT 200000
%' OF RETURN 97.65
TOTAL PROFIT Rs. 195300
SL TOTAL PROFIT OR LOSS (Rs.)
167.35 14800
1161 -24000
1565 -24000
375.75 31000
711 -28000
1122 23400
107.35 8400
571.5 16000
279 14000
66.15 31200
484 16000
1854 26000
482 11400
2022 27000
495.35 11300
928.5 20000
101.4 20800
M
38. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
29-Apr-15 ABIRLNUVO 250 4 BUY 1593 1635 1685
27-Apr-15 M&MFIN 1000 4 SELL 275 267.9 266.5
23-Apr-15 ADANIENT 500 4 BUY 671 688 679
21-Apr-15 AXISBANK 500 4 BUY 526 538.5 531.65
17-Apr-15 L&TFIN 4000 4 SELL 64.9 63.4 63.3
17-Apr-15 TATASTEEL 1000 4 BUY 343.75 351.25 352.3
16-Apr-15 IOC 1000 4 SELL 372.5 365 365
15-Apr-15 UCOBANK 4000 4 BUY 69.6 71.3 71.4
13-Apr-15 TVSMOTORS 1000 4 BUY 260 266.5 255
10-Apr-15 AMTEKAUTO 2000 4 BUY 164.7 168.8 166.2
8-Apr-15 SSLT 1000 4 BUY 195 200 196.7
7-Apr-15 IGL 1000 4 BUY 417.3 427.3 423.6
6-Apr-15 HINDALCO 4000 4 BUY 134.5 138 135.6
1-Apr-15 UCOBANK 4000 4 BUY 65.4 66.9 66.5
CAPITAL AIM
39. TRACKSHEET APRIL 15
INVESTMENT 200000
%' OF RETURN 165.55
TOTAL PROFIT Rs. 331100
SL TOTAL PROFIT OR LOSS (Rs.)
1530 92000
281 34000
659 16000
516 11300
66.1 25600
337.75 34200
378.5 30000
68.2 28800
255 -20000
161.2 12000
190.9 6800
412.3 25200
131.5 17600
64.2 17600
M
40. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET BOOK PROFIT AT
29-May-15 ONGC 1000 4 BUY 326.4 333.9 331.5
27-May-15 BHARTIARTL 1000 4 BUY 406.7 416.7 410.95
26-May-15 TVSMOTORS 1000 4 BUY 233.5 239.5 238.7
22-May-15 TATAPOWER 4000 4 SELL 75.75 73.6 74.75
21-May-15 L&TFIN 4000 4 SELL 65.55 64.05 64.85
20-May-15 SKSMICRO 500 4 BUY 471 483 463
19-May-15 ZEEL 1000 4 BUY 314 321.5 318.9
18-May-15 WOCKPHARMA 250 4 BUY 1335 1365 1367
15-May-15 IOC 1000 4 BUY 337 344.5 340.5
14-May-15 ORIENTBANK 1000 6 BUY 196.85 201.35 202
13-May-15 INDIACEM 2000 4 BUY 88.6 90.6 89.4
11-May-15 INFY 125 4 BUY 1974 2024 2004
8-May-15 TECHM 500 4 BUY 623 638 637
5-May-15 UNIONBANK 2000 4 BUY 148.75 152.25 145.75
4-May-15 BATAINDIA 250 4 BUY 1045 1070 1063
CAPITAL AIM
41. TRACKSHEET MAY 15
INVESTMENT 200000
%' OF RETURN 102.25
TOTAL PROFIT Rs. 204500
SL TOTAL PROFIT OR LOSS (Rs.)
320 20400
398.7 17000
227.5 20800
77.75 11200
66.75 11200
463 -16000
308 19600
1309 32000
332 14000
193.35 30900
87 6400
1927 15000
613 28000
145.75 -24000
1025 18000
M
42. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET
29-Jun-15 DISHTV 4000 4 SELL 101.3 98.8
22-Jun-15 TATAMOTORS 505 4 BUY 437.5 447.5
19-Jun-15 LICHSGFIN 500 4 BUY 435 445
19-Jun-15 RELCAPITAL 500 4 BUY 356.4 364.4
17-Jun-15 M&M 250 4 BUY 1242 1272
17-Jun-15 EXIDEIND 2000 4 BUY 146.75 150.35
16-Jun-15 BHARATFORG 250 4 SELL 1081 1056
11-Jun-15 JUSTDIAL 125 4 SELL 1096 1071
10-Jun-15 LT 125 4 SELL 1715.5 1675.5
10-Jun-15 UPL 500 4 SELL 518 505.5
9-Jun-15 AMBUJACEM 1000 4 BUY 225.5 230.5
9-Jun-15 HEXAWARE 1000 4 SELL 273.75 267.75
8-Jun-15 JUBLFOOD 250 4 SELL 1682 1641
4-Jun-15 HDFCBANK 250 4 SELL 1004 979
3-Jun-15 HEXAWARE 1000 4 SELL 273 266.5
2-Jun-15 ENGINERSIN 1000 4 SELL 206.7 201.7
CAPITAL AIM
43. TRACKSHEET JUNE 2015
INVESTMENT 200000
% OF RETURN 23.2675
TOTAL PROFIT 46535
BOOK PROFIT AT SL TOTAL PROFIT OR LOSS (Rs.)
100.5 103.4 12800
441.75 429.5 8585
444.8 427 19600
350.4 350.4 -12000
1257 1216 15000
147.8 143.75 8400
1102 1102 -21000
1084 1116 6000
1708 1740.5 3750
514 528 8000
227.1 221.4 6400
279.75 279.75 -24000
1666 1714 16000
991 1024 13000
278 278 -20000
205.2 210.8 6000
IM
44. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET
30-Jul-15 INFY 250 4 BUY 1090.5 1110.5
29-Jul-15 PFC 1000 4 SELL 245.5 240.5
28-Jul-15 BANKBARODA 2000 4 SELL 151.35 148.35
27-Jul-15 ASIANPAINT 250 4 SELL 836.5 816.5
23-Jul-15 SIENENS 250 4 BUY 1489 1517
22-Jul-15 HINDALCO 2000 4 SELL 108.3 104
22-Jul-15 HINDALCO 2000 4 SELL 106 104
21-Jul-15 SBIN 1000 4 SELL 268.55 263.05
21-Jul-15 EXIDEIND 2000 4 BUY 156.2 159.2
16-Jul-15 TECHM 500 4 BUY 478.6 487.6
16-Jul-15 ICICINANK 1000 4 BUY 318.55 324.55
15-Jul-15 M&MFIN 1000 4 BUY 280 285.6
14-Jul-15 VEDL 2000 4 BUY 149.55 153.25
13-Jul-15 UPL 500 4 SELL 511.5 501.5
10-Jul-15 ABIRLANUVO 125 4 BUY 1907 1945
10-Jul-15 IOC 1000 4 SELL 415.9 405.9
9-Jul-15 ARVIND 1000 4 SELL 278.85 272.535
8-Jul-15 HEXAWARE 1000 4 SELL 252.4 246.4
8-Jul-15 ENFINEARIN 1000 4 SELL 232 226
7-Jul-15 LICHSGFIN 500 4 BUY 552.4 562.4
7-Jul-15 CESC 500 4 BUY 565.5 578
6-Jul-15 DISHTV 4000 4 SELL 105.2 102.8
3-Jul-15 SRTRANSFIN 500 4 BUY 933 954
2-Jul-15 IOC 1000 4 BUY 398 408
2-Jul-15 ALBK 2000 4 BUY 90 92.3
1-Jul-15 HINDUNILVR 500 4 BUY 924.2 945.2
CAPITAL AIM
45. TRACKSHEET JULY 2015
INVESTMENT 200000
% OF RETURN 30.3
TOTAL PROFIT 60600
BOOK PROFIT AT SL TOTAL PROFIT OR LOSS (Rs.)
0 1075.5 0
240.4 249.6 20400
150.9 153.95 3600
852 0
0 1566 0
107.7 109.85 4800
107.7 107.7 -13600
263.55 273.05 20000
0 153.7 0
488.7 471.7 20200
322 313.55 13800
285.6 275 22400
146.55 0
508.3 519.5 6400
1875 0
425.5 425.5 -32000
283.65 283.65 -18200
251.5 257.4 3600
229 237 12000
544.4 544.4 -16000
555.5 0
107.2 107.2 -32000
916 0
410.5 390 50000
88.2 88.2 -14400
929 906.2 9600
IM
46. DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
31-Aug-15 AXISBANK 500 4 BUY 504.5 492 514.5
28-Aug-15 BHARATFORG 500 4 BUY 1195 1127 1172
27-Aug-15 RELCAP 500 4 BUY 306 314 302
27-Aug-15 M&M 250 4 SELL 1215 1182 1237
25-Aug-15 SRTRANSFIN 250 4 SELL 800 765 820
21-Aug-15 BAJAJAUTO 125 4 SELL 2435 2388 2471
20-Aug-15 YESBANK 250 4 SELL 765 750 776
18-Aug-15 MOTHERSUMI 750 4 BUY 347 356 342
17-Aug-15 BHARATFORG 250 4 BUY 1238 1255 1224
17-Aug-15 ICICIBANK 1000 4 BUY 304 310 299
13-Aug-15 CANBK 1000 4 SELL 292 286 297
13-Aug-15 KOTAKBANK 500 6 SELL 684.5 670.5 696.5
12-Aug-15 TATAGLOBAL 2000 4 SELL 136.3 133.5 138.6
11-Aug-15 RPOWER 4000 6 SELL 43.55 42.65 44.25
6-Aug-15 MOTHERSUMI 750 4 SELL 382.25 374.25 388.25
6-Aug-15 CANBK 1000 4 SELL 297.2 291 302.2
5-Aug-15 AMARAJABAT 250 4 BUY 992 1012 977
4-Aug-15 CENTURYTEX 500 4 SELL 695.3 680.3 707.3
3-Aug-15 GODREJIND 1000 4 BUY 393.5 401.5 387.5
CAPITAL A
47. INVESTMENT
% OF RETURN
TOTAL PROFIT
1ST PART 2ND PART
0 0 0 0
1172 0 0 0
0 0 0 0
1221 0 0 0
791 815 6750 -2250
2388.5 0 8625 4750
753.5 746 0 0
0 0 3000 0
1249 1254.4 5500 8200
303.2 0 9200 11600
287.4 286.2 0 0
0 0 5600 7600
134.9 134.4 4200 10200
43.2 42.7 3675 16250
379.8 371.5 4050 16500
296.5 0 2800 0
983.7 -9000 0
693.3 0 4000 0
0 0 0 0
CAPITAL AIM
BOOK PROFIT LEVEL PROFIT
49. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
30-Sep-15 JUBLFOOD 250 4 SELL 1606.5 1571.5 1636.5
29-Sep-15 HEXAWARE 1000 4 SELL 240.25 234.85 245.05
28-Sep-15 ZEEL 1000 4 SELL 388.75 379.75 396.25
23-Sep-15 HAVELLS 1000 4 SELL 246 240 251
23-Sep-15 BANKINDIA 1000 4 SELL 134.4 131.2 137
22-Sep-15 ADANIPORT 1000 4 SELL 331.5 324.5 337.5
21-Sep-15 BIOCON 1000 4 SELL 437.6 427.6 445.6
18-Sep-15 BHARATFORG 250 4 BUY 957 977 940
18-Sep-15 IDEA 2000 4 BUY 148.25 151.45 145.65
16-Sep-15 ULTRACEMCO 125 4 SELL 2924.5 2860.5 2979.5
16-Sep-15 LT 125 4 SELL 1552 1516 1582
16-Sep-15 FEDERALBANK 4000 4 SELL 60 58.5 61.2
15-Sep-15 AUROPHARMA 500 4 SELL 707.85 692.85 719.85
14-Sep-15 SBIN 1000 4 BUY 234.3 240.3 229.3
11-Sep-15 DRREDDY 125 4 SELL 3995 3895 4085
10-Sep-15 ALBK 2000 4 SELL 75 73.3 76.5
9-Sep-15 INDUSINBANK 250 4 BUY 858 885 842
8-Sep-15 TCS 125 4 SELL 2530 2480 2552
4-Sep-15 ALBK 2000 4 SELL 78.25 76.55 79.65
3-Sep-15 IOC 1000 4 SELL 393 384 400.2
3-Sep-15 EXIDEIND 2000 4 SELL 147.3 144.3 149.9
2-Sep-15 AUROPHARMA 500 4 SELL 730 717 743
1-Sep-15 EXIDEIND 2000 4 SELL 150.5 147 153.5
50. INVESTMENT
% OF RETURN
TOTAL PROFIT
1ST PART 2ND PART
1595.8 1605.4 8025 275
237.8 237.9 7350 2350
387 385.5 5250 3250
0 0 0 0
137 0 -10400
327.1 322.8 13200 8700
0 0 0 0
940 0 -17000 0
149.25 147 6000 -2500
2979.5 0 0 0
1536.5 1553 3875 -250
0 0 0 0
702.2 698.4 8475 4725
236.2 0 7600 0
3989 0 3000 0
74.05 74.8 3800 400
867.5 859.6 7125 400
0 0 0 0
77.25 76.25 4000 8000
387.6 400.2 16200 -7200
0 0 0
0 0 0 0
148.8 147.45 10200 6100
BOOK PROFIT LEVEL PROFIT
52. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
30/10/15 KTKBANK 4000 4 SELL 123.3 120.3 125.7 0
29/10/15 AXISBANK 500 4 SELL 477.5 466.5 486.5 470.5
29/10/15 GLENMARK 250 4 SELL 985 961 1005 977.3
28/10/15 AMARAJABAT 250 4 SELL 971 948 991 952.5
28/10/15 ABIRLANUVO 125 4 SELL 2150 2100 2191 2139
28/10/15 COALINDIA 1000 4 SELL 328.5 321 334.5 327.8
27/10/15 HEROMOTOCO 125 4 SELL 2594 2534 2644 2590
27/10/15 AMBUJACEM 1000 4 SELL 206.3 201.3 210.4 204.65
27/10/15 NMDC 2000 4 SELL 96.4 94 98.4
26/10/15 DHFL 1000 4 SELL 232.2 228.1 235.7 229.3
26/10/15 KTKBANK 2000 4 SELL 125 122 127.4 123.95
26/10/15 HEROMOTOCO 125 4 SELL 2594 2534 2644 0
23/10/15 CROMPGREAV 2000 4 BUY 185.8 190.3 182.3 186
23/10/15 PFC 1000 4 BUY 249.3 255.3 244.3 249.7
21/10/15 WOCKPHARMA 125 4 SELL 1557 1519 1587 1546.5
21/10/15 RELCAPITAL 500 4 SELL 396.9 388.8 405 0
20/10/15 TATAMTRDVR 1000 4 BUY 267.4 274 262.4 268
20/10/15 JSWSTEEL 250 4 SELL 885 865 902 0
19/10/15 ENGINERSIND 1000 4 SELL 208.8 203.8 212.9 206.5
19/10/15 ARVIND 1000 4 BUY 297.1 304.5 291.1 0
19/10/15 BIOCON 500 4 SELL 452.9 441.9 461.9 0
16/10/15 BRITANNIA 125 4 BUY 3215 3295 3150 3257
16/10/15 SUNPHARMA 500 4 SELL 880 860 897 0
16/10/15 GODREJIND 1000 4 BUY 360 369 352.5 0
15/10/15 IRB 1000 4 BUY 256.85 263.35 251.35 0
15/10/15 CANBK 1000 4 BUY 298.65 305.95 292.65 300.5
15/10/15 CESC 500 4 SELL 575.4 563.4 585.4 572.5
14/10/15 BANKBARODA 2000 4 SELL 174.65 170.55 177.85 173.75
13/10/15 JSWSTEEL 250 4 SELL 895 875 912 0
12/10/15 RELCAPITAL 500 4 SELL 377.2 368 385.2
9/10/15 STAR 250 4 SELL 1245 1215 1269 1232.2
8/10/15 HDFCBANK 250 4 SELL 1090 1063 1113 1082
7/10/15 DISHTV 4000 4 SELL 106.5 104.1 108.5 106.35
6/10/15 JSWSTEEL 250 4 SELL 902 881 919 901.3
6/10/15 IDBI 4000 4 SELL 79 77.1 80.7 0
6/10/15 RCOM 4000 4 BUY 72.6 74.3 71.2 0
5/10/15 MINDTREE 250 4 BUY 1534 1570 1504 1545
1/10/15 LT 125 4 BUY 1491.5 1523.5 1463.5 1494
BOOK PROFIT
53. TRACKSHEET OCTOBER 2015
INVESTMENT 200000
% OF RETURN 34.443875
TOTAL PROFIT 68887.75
EXIT TOTAL P/L (Rs.)
2ND PART
0 0 0 0 0
468.7 0 10500 4400 14900
985 0 5775 0 5775
928.5 0 13875 10625 24500
2148 0 4125 250 4375
0 2812 0 0
0 0 2000 0 2000
206.3 0 4950 0 4950
98.4 0 0 -16000
230.7 0 8700 1500 10200
124.3 0 4200 2800 7000
0 0 0 0 0
0 0 1600 0 1600
0 0 1600 0 1600
1550 0 3937.75 875 4812.75
0 0 0 0 0
0 0 2400 0 2400
0 0 0 0 0
208.8 0 6900 0 6900
0 0 0 0 0
0 0 0 0 0
3249 0 15750 4250 20000
0 0 0 0 0
0 0 0 0 0
0 0 0 0 0
300.9 0 5550 2250 7800
0 5800 0 5800
174 0 5400 1300 6700
0 0 0 0 0
389 -23600
1245 0 9600 0 9600
1090 0 4000 0 4000
0 0 2400 0 2400
0 0 525 0 525
0 80.7 0 0 -27200
0 71.2 0 0 -22400
1535 0 8250 250 8500
1498 0 937.5 812.5 1750
BOOK PROFIT PROFIT
54. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
27/11/15 TECHM 1000 4 SELL 534.9 522.4 544.9 533.6
26/11/15 CIPLA 800 4 SELL 636.2 621.2 647.2 633.5
24/11/15 ADANIPORT 1600 4 SELL 272.45 265.65 277.45 270.9
23/11/15 TATASTEEL 2000 4 SELL 226.7 221.7 230.8 224.9
20/11/15 BANKBARODA 3100 4 SELL 167.2 163.1 170.4 0
19/11/15 DISHTV 5000 4 SELL 102.5 100.1 104.5 0
18/11/15 HDIL 6000 4 BUY 64.5 66 63.3 0
18/11/15 HINDPETRO 600 4 SELL 766.6 751.6 778.6 0
18/11/15 IBREALEST 9000 4 SELL 59.3 57.8 60.5 0
17/11/15 IBULHSGFIN 800 4 SELL 624 609 636 0
16/11/15 APOLLOHOSP 400 4 SELL 1234 1204 1258 1221.5
13/11/15 SIEMENS 400 4 SELL 1232 1202 1256 0
10/11/15 AXISBANK 1000 4 BUY 469.25 480.25 460.25 472.8
9/11/15 GODREJIND 1300 4 BUY 393.7 402.7 386.2 0
6/11/15 CENTURYTEX 800 4 SELL 527 514.5 537 515.7
5/11/15 HDIL 6000 4 SELL 68.8 67.1 70.2 68.2
4/11/15 MCDEOLRUSS 2200 4 SELL 170.4 166.3 173.6 168.4
4/11/15 FEDERALBK 8000 4 BUY 55.9 57.3 54.8 0
3/11/15 ASIANPAINT 600 4 SELL 824 804 841 817.2
2/11/15 IDBI 8000 4 SELL 84.9 82.9 86.4 84.15
BOOK PROFIT
55. TRACKSHEET NOVEMBER 2015
INVESTMENT 200000
% OF RETURN 43.435
TOTAL PROFIT 86870
EXIT TOTAL P/L (Rs.)
2ND PART
534.9 3900 0 3900
8640 8640
270.6 4960 5920 10880
222.1 7200 18400 25600
0 170.4 -39680
0 0
0 0
0 765.6 2400
0 0
0 0 0 0
1234 15000 0 15000
0 0 0 0
469.25 10650 0 10650
0 386.2 -39000
513.5 0 27120 10800 37920
68.8 0 10800 0 10800
167.9 0 13200 5500 18700
0 0 0 0 0
819.3 0 12240 2820 15060
86.4 0 18000 -12000 6000
BOOK PROFIT PROFIT
56. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
31/12/15 MINDTREE 400 4 SELL 1428 1393 1458 1421
30/12/15 RPOWER 12000 4 BUY 55.9 57.3 54.8 0
28/12/15 COALINDIA 1200 4 BUY 325.2 331 319.8 326.1
24/12/15 GODREJIND 1300 4 SELL 380.5 371.5 388 379
23/12/15 KSCL 750 4 SELL 345 337 351.5 340.4
22/12/15 GRASIM 150 4 SELL 3700 3610 3680 3649
21/12/15 LUPIN 300 4 SELL 1803 1761 1840 1798.5
18/12/15 SRTRANSFIN 600 4 BUY 813 833 798 829.5
18/12/15 JSWSTEEL 600 4 SELL 1039 1014 1059 1033.5
16/12/15 SIEMENS 400 4 BUY 1178 1206 1155 1183
15/12/15 JSWSTEEL 600 4 SELL 1016 996 1031 1006.5
15/12/15 MCLEODRUSS 2200 4 SELL 171.5 167.4 174.7 171.4
14/12/15 MCLEODRUSS 2200 4 SELL 170.8 166.7 174 0
11/12/15 JSWENERGY 6000 4 SELL 78.35 76.55 79.75 77.2
10/12/15 CANBK 2000 4 SELL 246.4 240.4 251.4 244.9
10/12/15 LICHSGFIN 1100 4 SELL 451 441 459 450.5
9/12/15 CIPLA 800 4 SELL 641.3 622.3 649.3 635.3
9/12/15 SIEMENS 400 4 BUY 1156 1223 1132
8/12/15 SIEMENS 400 4 BUY 1194 1223 1275
7/12/15 DHFL 2200 4 SELL 219 214 223.1 217.5
4/12/15 CEAT 700 4 SELL 1037 1012 1058 1023.5
3/12/15 NCC 8000 4 SELL 77.2 73.3 78.6 76.65
2/12/15 UNIONBANK 3000 4 SELL 172 167.9 175.2 170.5
1/12/15 UNIONBANK 3000 4 SELL 172 167.9 175.2 0
BOOK PROFIT
57. TRACKSHEET DECEMBER 2015
INVESTMENT 200000
% OF RETURN 89.435
TOTAL PROFIT 178870
EXIT TOTAL P/L (Rs.)
2ND PART
1432 0 8400 -1600 6800
0 55.7 0 -9600
325.2 0 3240 0 3240
0 0 7800 0 7800
342.5 0 6900 3750 10650
0 30600 0 30600
0 5400 0 5400
823 0 19800 12000 31800
1029.5 0 6600 11400 18000
1179 0 4000 800 4800
1015.3 0 17100 420 17520
0 0 880 0 880
0 0 0 0 0
76.55 0 13800 21600 35400
246 0 9000 800 9800
0 2200 0 2200
627.7 0 14400 10880 25280
1132 0 0 -38400
1159.5 0 0 -55200
0 13200 0 13200
1025 0 18900 16800 35700
78.6 0 13200 -11200 2000
170 0 9000 12000 21000
0 0 0 0 0
BOOK PROFIT PROFIT
58. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
29/1/16 JINDALSTEL 7000 4 SELL 63 61.5 64.2 61.75
28/1/16 VOLTAS 1600 4 SELL 281.7 274.4 287.7 279.8
27/1/16 DISHTV 5000 4 SELL 85.8 83.8 87.5 0
25/1/16 ADANIPORTS 1600 4 BUY 226 231 221.9 0
21/1/16 SKSMICRO 1000 4 SELL 451 440 460 442
20/1/16 ADANIPORTS 1600 4 SELL 223 218 227.1 220.4
20/1/16 HINDPETRO 600 4 SELL 805 785 822 788
19/1/16 APOLLOHOSP 400 4 SELL 1349 1319 1375 0
18/1/16 M&M 400 4 SELL 1174 1145 1200 1159
15/1/16 SRF 400 4 SELL 1223 1193 1247 1208.5
14/1/16 GAIL 1400 4 SELL 358.8 349.8 366.3 357.5
13/1/16 JINDALSTEL 7000 4 SELL 81 79 82.4 79.45
12/1/16 SRTRANSFIN 600 4 SELL 815 795 832 811
11/1/16 RELINFRA 1300 4 SELL 575.5 561.5 586.5 0
8/1/16 AUROPHARMA 700 4 SELL 847 827 864 0
7/1/16 PFC 2000 4 SELL 197 192 201.1 194.5
6/1/16 KTKBANK 4000 4 SELL 120.5 117 123.5 119.35
6/1/16 IRB 2100 4 SELL 253 247 257.1 0
5/1/16 FEDERALBNK 8000 4 SELL 56.15 54.95 57.15 56.1
4/1/16 ARVIND 1700 4 SELL 348.3 340.8 354.8 345.25
1/1/16 AXISBANK 1000 4 BUY 449.9 439.9 457.9 447.5
BOOK PROFIT
59. TRACKSHEET JANUARY 2016
INVESTMENT 200000
% OF RETURN 132.375
TOTAL PROFIT 264750
EXIT TOTAL P/L (Rs.)
2ND PART
61.2 0 17500 25200 42700
281.8 0 6080 -320 5760
0 87.5 0 0 -34000
0 0 0 0 0
436.8 0 18000 28400 46400
218.3 0 8320 15040 23360
800.5 0 20400 5400 25800
0 0 0 0 0
1170 0 12000 1600 13600
1206 0 11600 13600 25200
0 0 7280 0 7280
78.8 0 21700 30800 52500
0 0 9600 0 9600
0 0 0 0 0
0 0 0 0 0
190.4 0 10000 26400 36400
118.95 0 9200 12400 21600
0 257.1 -34440
0 0 1600 0 1600
346.5 0 10370 6120 16490
452.2 0 7200 -2300 4900
BOOK PROFIT PROFIT
60. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
26/2/16 CEATIND 700 4 SELL 936.5 913.5 956 935.4
25/2/16 BIOCON 1100 4 SELL 461.8 449.3 471.8 458.7
24/2/16 IRB 2100 4 SELL 214.8 209.8 218.9 0
23/2/16 JSWENERGY 6000 4 SELL 64.95 63.45 66.15 64.35
22/2/16 JETAIRWAYS 900 4 SELL 547.5 532.5 562.5
19/2/16 SRTRANFIN 600 4 SELL 835 815 852 828.7
18/2/16 HINDPETRO 600 4 SELL 696.5 679 710.5 691.5
17/2/16 HINDUNILVR 600 4 SELL 802 782 817 792
16/2/16 GODREJIND 1300 4 SELL 319.4 312 325.4 316.6
12/2/16 MOTHERSUMI 1500 4 SELL 221.3 216 225.4
12/2/16 TATAPOWER 8000 4 SELL 57.95 53.1 60
12/2/16 TATAPOWER 8000 4 SELL 55.5 53.1 57.5
11/2/16 KOTAKBANK 700 4 SELL 662 645 676 656.5
10/2/16 M&M 400 4 SELL 1177 1147 1200 1166
9/2/16 OFSS 150 4 SELL 3599 3509 3679 3556
8/2/16 TATAMTRDVR 2100 4 SELL 246 240 251 243.9
5/2/16 ARVIND 1700 4 SELL 281.4 273.9 287.4 279.25
4/2/16 CENTURYTEX 800 4 SELL 475 463 485 469
3/2/16 PFC 2000 4 SELL 164.5 160.4 168 161.5
3/2/16 APOLLOTYRE 3000 4 SELL 140.35 136.85 143.35 138.6
2/2/16 WOCKPHARMA 375 4 SELL 1233.5 1203.5 1257.5 1216.5
1/2/16 DISHTV 5000 4 SELL 90.5 88 92.5 89.9
BOOK PROFIT
61. TRACKSHEET FEBUARY 2016
INVESTMENT 200000
% OF RETURN 112.86875
TOTAL PROFIT 225737.5
EXIT TOTAL P/L (Rs.)
2ND PART
0 3080 3080
0 13640 13640
0 0 0 0
64.15 10800 4800 15600
562.5 -54000
835 7560 0 7560
672.5 9000 14400 23400
817 18000 -9000 9000
315 7280 11440 18720
212 0 55800 55800
56.5 0 46400 46400
0 57.5 0 0 -64000
649 7700 18200 25900
1200 13200 -9200 4000
3556 19350 6450 25800
242.2 13230 7980 21210
287.4 10965 -10200 765
485 14400 -8000 6400
168 18000 -7000 11000
138.7 10500 9900 20400
1215 19125 6937.5 26062.5
90.5 9000 0 9000
BOOK PROFIT PROFIT
62. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
31/3/16 KSCL 750 4 SELL 370 361 376.5
30/3/16 UNIONBAN 3000 4 SELL 125.25 122.25 127.65
23/3/16 MINDTREE 800 4 SELL 658 641 672 652
22/3/16 UNIONBAN 3000 4 BUY 132.4 135.4 130
21/3/16 ASAINPAINT 600 4 SELL 859.5 844.5 871.5 856
18/3/16 ARVIND 1700 4 SELL 272.5 256 277.5 270
17/3/16 SUNPHARMA 600 4 SELL 835.5 815.5 850.5 826.5
16/3/16 BIOCON 1100 4 SELL 471.8 460.8 480.8 467
15/3/16 ENGINERSIND 2200 4 SELL 161 156.9 164.5 160.35
14/3/16 RCOM 8000 4 SELL 52.5 51.3 53.5 51.9
14/3/16 KSCL 750 4 SELL 397.5 387.5 405.5 397
11/3/16 IBULHSGFIN 800 4 SELL 639 625 650 639
10/3/16 M&MFIN 2000 4 SELL 225 219 229.5 0
8/3/16 RECLTD 2000 4 SELL 168.9 164.7 172.7 166.65
3/3/16 HAVELLS 2000 4 SELL 278.5 271 284.5 276.6
3/3/16 M&M 400 4 SELL 1223 1193 1247 1207
2/3/16 LT 300 4 BUY 1153.2 1170.2 1130.2 0
1/3/16 JUSTDIAL 500 4 SELL 515.5 508.5 521.5 0
BOOK PROFIT
63. TRACKSHEET MARCH 2016
INVESTMENT 200000
% OF RETURN 76.23
TOTAL PROFIT 152460
EXIT TOTAL P/L (Rs.)
2ND PART
376.5 -19500
0
652.5 14400 4400 18800
0
859.5 6300 0 6300
268 12750 7650 20400
824 10800 13800 24600
471.8 15840 0 15840
5720 5720
51.6 14400 7200 21600
1500 1500
0 0
0 0
167.9 9000 4000 13000
275.9 11400 5200 16600
1202 19200 8400 27600
0 0 0 0
0 0 0 0
BOOK PROFIT PROFIT
64. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
29/4/16 TATAMTRDVR 2100 4 SELL 301.4 330.25 344.25 297.7
28/4/16 GRNULES 5000 4 BUY 134 137.4 131 134.25
27/4/16 PIDILITE 1000 4 BUY 608 623 596 608.8
26/4/16 ITC 1600 4 BUY 321 328.5 315 324.35
26/4/16 SIEMENS 400 4 SELL 1150 1123 1173
25/4/16 GODREJIND 1300 4 SELL 365.5 356.3 373 363
25/4/16 COALINDIA 1200 4 BUY 289.5 297 283 293.5
22/4/16 HAVELLS 2000 4 SELL 338.25 330.25 344.25 335.15
21/4/16 COLPAL 500 4 BUY 855 875 840 860
20/4/16 IRB 2100 4 SELL 220.25 215.25 224.35
20/4/16 APOLLOTYRE 3000 4 BUY 175.5 180 172
18/4/16 SIEMENS 400 4 SELL 1163 1136 1206 1151
13/4/16 BEML 500 4 BUY 920 941 903 935.5
12/4/16 TORNTPHARM 400 4 BUY 1457 1492 1427 1468.5
11/4/16 MINDTREE 800 4 SELL 661 643 673 657.8
8/4/16 CANBK 2000 4 SELL 182.3 178.2 185.5 181.4
7/4/16 ORIENBANK 3000 4 SELL 87.3 85.3 89 86.35
6/4/16 ARVIND 1700 4 SELL 265 253 271.5 261.9
6/4/16 ARVIND 1700 4 SELL 259.5 253 264.5
5/4/16 SRF 400 4 SELL 1277 1247 1300 1265.5
4/4/16 BPCL 600 4 SELL 887.5 866.5 904.5
1/4/16 JISLJALEQS 8000 4 BUY 61 62.5 59.8 61.35
BOOK PROFIT
65. TRACKSHEET APRIL 2016
INVESTMENT 200000
% OF RETURN 34.8275
TOTAL PROFIT 69655
EXIT TOTAL P/L (Rs.)
2ND PART
297 23310 9240 32550
5000 5000
3200 3200
21440 21440
1173 -36800
361.5 6500 10400 16900
19200 19200
337.8 12400 1800 14200
855 5000 0 5000
224.35 -34440
172 -42000
19200 19200
935.75 23250 7875 31125
1463.9 9200 5520 14720
661 5120 0 5120
7200 7200
85.6 5700 10200 15900
10540 10540
264.5 -34000
1250 9200 21600 30800
904.5 -40800
61 5600 0 5600
BOOK PROFIT PROFIT
66. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
31/5/16 BANKBARODA 3100 4 SELL 137.7 134.2 140.2
30/5/16 LICHSGFIN 1100 4 BUY 468.5 479.5 459.5 469
24/5/16 BEML 500 4 SELL 835 815 850 829.8
23/5/16 IBULHSGFIN 800 4 SELL 703.5 686 718.5 689.5
23/5/16 IBREALEST 9000 4 SELL 89 86.7 91 87.85
23/5/16 BATAINDIA 1000 4 SELL 560.3 547 571.3 555
23/5/16 DHFL 2200 4 SELL 186.5 182 190 186.2
18/5/16 CIPLA 800 4 BUY 521.4 508.9 531.4
17/5/16 ADANIPORTS 1600 4 SELL 184 179.5 187.9 183.65
13/5/16 TVSMOTORS 2000 4 SELL 294 286.5 300 293.7
12/5/16 HEROOTOCO 200 4 BUY 2973 3048 2913
11/5/16 LICHSGFIN 1100 4 SELL 457.25 447.25 465.25 453.05
10/5/16 ONGC 2000 4 SELL 210.5 205.5 214.6 208.15
10/5/16 ALBK 6000 4 SELL 54.25 53.15 55.15
10/5/16 BIOCON 4 SELL 613 598 625
6/5/16 TVSMOTORS 2000 4 SELL 294.2 287 300.2
5/5/16 PNB 4000 4 SELL 81.2 78.2 82.9
4/5/16 HCLTECH 600 4 BUY 734.35 752.35 719.35 738.7
3/5/16 COALINDIA 1200 4 BUY 290 297.5 284
3/5/16 ORIENTBANK 3000 4 SELL 91.7 89.2 93.8 90.3
2/5/16 BANKBARODA 3100 4 SELL 156.6 152.7 159.8
BOOK PROFIT
NOTEXECUTED
NOT EXECUTED
67. TRACKSHEET MAY 2016
INVESTMENT 200000
% OF RETURN 2.685
TOTAL PROFIT 5370
EXIT TOTAL P/L (Rs.)
2ND PART
0
2200 2200
821 7800 7000 14800
690.3 33600 10560 44160
91 31050 -18000 13050
554.5 10600 11600 22200
2640 2640
0
2240 2240
2400 2400
2913 -48000
454 9240 7150 16390
207.7 9400 11200 20600
0
300.2 -48000
82.9 -27200
735 7830 390 8220
89.45 12600 6750 19350
159.8 -39680
BOOK PROFIT PROFIT
NOTEXECUTED
NOT EXECUTED
68. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
30/6/16 TATACOMM 1100 4 BUY 475 486 467
29/6/16 IGL 1100 4 BUY 618.2 633.2 607.2 621.7
29/6/16 JUSTDIAL 500 4 SELL 596.25 581.25 608.25
28/6/16 TATAELXSI 300 4 SELL 1689 1648 1724
27/6/16 TATAOTORS 1500 4 SELL 449.25 438.25 458.25 444.65
24/6/16 YESNANK 700 4 SELL 1065 1040 1085 1056
23/6/16 HDIL 6000 4 SELL 103.85 101.25 105.85 102.85
23/6/16 JUBLFOOD 300 4 SELL 1045.5 1025.5 1060.5 1034.75
22/6/16 JSWENERGY 6000 4 SELL 83.15 81.15 84.65 82.3
22/6/16 HEROMOTOCO 200 4 BUY 3072.5 3147.5 3012.5 3073.8
22/6/16 M&M 400 4 BUY 1376 1408 1350 1381
21/6/16 AJANTAPHARMA 400 4 SELL 1495 1460 1425 1483.5
21/6/16 TATAOTORS 1500 4 SELL 480.2 468.2 490.2 478
20/6/16 SRF 400 4 SELL 1251.9 1221.9 1275.9
17/6/16 BEL 450 4 BUY 1278.5 1308.5 1254.5
17/6/16 IGL 1100 4 BUY 627 642 615
16/6/16 AUROPHARMA 700 4 SELL 742.3 725.3 756.3 733.5
16/6/16 SRTRANSFIN 600 4 SELL 1151.5 1123.5 1174.5
15/6/16 KSCL 750 4 SELL 452.6 441.6 461.6
14/6/16 NMDC 375 4 SELL 90.1 88.1 91.8
14/6/16 WOCKPHARMA 375 4 SELL 931 908 951 916
14/6/16 JINDALSTEL 7000 4 SELL 63.1 64.6 64.3
13/6/16 INDUSINDBNK 600 4 SELL 1105.5 1079.5 1126.5 1090
10/6/16 BRITANNIA 200 4 SELL 2768 2703 2823 2739
9/6/16 CIPLA 800 4 BUY 476.7 488.7 466.7 481.4
8/6/16 SUNTV 750 4 SELL 357 349 363.5
7/6/16 KSCL 750 4 SELL 454.5 443.5 463.5 451.1
6/6/16 DISHTV 5000 4 SELL 87.1 85 88.8 86.3
3/6/16 LUPIN 300 4 SELL 1475.5 1440.5 1505.5 1456.3
2/6/16 MINDTREE 800 4 SELL 658.2 643.2 670.2
2/6/16 KTKBANK 4000 4 SELL 124.8 121.8 127.4
1/6/16 ADANIPORTS 1600 4 SELL 199 194 203.1
BOOK PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
69. TRACKSHEET JUNE 2016
INVESTMENT 200000
% OF RETURN 53.79375
TOTAL PROFIT 107587.5
EXIT TOTAL P/L (Rs.)
2ND PART
488.4 29480 29480
15400 15400
608.25 -24000
1724 -42000
440.5 13800 26250 40050
1085 18900 -14000 4900
101.8 12000 24600 36600
1060.5 9675 -4500 5175
81.3 10200 22200 32400
1040 1040
8000 8000
1479.3 13800 6280 20080
13200 13200
1275.5 -37760
0
0
736 18480 4410 22890
1160.5 -21600
454.5 -5700
0
921.5 16875 3562.5 20437.5
64.3 -33600
37200 37200
2740.5 17400 5500 22900
482.4 11280 4560 15840
363.5 -19500
454 7650 375 8025
88.8 12000 -8500 3500
1458.2 17280 5190 22470
127.4 -41600
203.1 0 -26240
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
70. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
28/7/16 BIOCON 1000 4 BUY 826.65 846.65 811.65 828
26/7/16 CROMPGREAV 12000 4 BUY 73.75 75.45 72.35
25/7/16 ULTRACEMCO 200 4 BUY 3649 3739 3569 3682.5
22/7/16 PETRONET 3000 4 BUY 295 302.5 290 297.5
22/7/16 ORIENTBANK 6000 4 SELL 110.3 107.8 112.3
21/7/16 IGL 1100 4 BUY 621 636 609 621.2
20/7/16 ABIRLANUVO 750 4 BUY 1256 1286 1232 1267.5
18/7/16 CONCOR 500 4 BUY 1478.7 1514.7 1448.7
15/7/16 UPL 1200 4 BUY 570 584 559
14/7/16 IBREALEST 10000 4 SELL 90.1 88.2 91.6
13/7/16 GLENMARK 700 4 BUY 845 865 830 852
11/7/16 BIOCON 1100 4 BUY 738 755.2 724.2 746
8/7/16 BHARATFORG 600 4 SELL 740 722 754 737.6
7/7/16 TATAMTRDVR 2100 4 SELL 296 288.5 302 293
7/7/16 IBULHSGFIN 800 4 SELL 678 663 690 676.75
5/7/16 APOLLOHOSP 400 4 BUY 1346 1376 1322 1349
1/7/16 BRITANNIA 200 4 BUY 2792 2861 2732 2818
BOOK PROFIT
NOT EXECUTED
71. TRACKSHEET JULY 2016
INVESTMENT 200000
% OF RETURN 4.36
TOTAL PROFIT 8720
EXIT TOTAL P/L (Rs.)
2ND PART
5400 5400
72.35 -67200
26800 26800
297.8 15000 16800 31800
112.3 -48000
660 660
1291.5 25875 26625 52500
559 -52800
91.6 -60000
19600 19600
747 17600 19800 37400
5760 5760
293 12600 12600 25200
4000 4000
4800 4800
2823 10400 12400 22800
BOOK PROFIT PROFIT
NOT EXECUTED
72. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
31/8/16 ADANIPORTS 2500 4 BUY 267 274.5 249 270.2
30/8/16 MOTHERSUMI 2500 4 BUY 331 338.5 325
29/8/16 AMARJAJBAT 600 4 BUY 917.25 941.25 897.25 923
25/8/16 APOLLOTYRE 3000 4 BUY 175.1 179.2 171.9 176.6
24/8/16 GLENMARK 700 4 BUY 852 872 837 860.5
22/8/16 PCJEWLERS 1500 4 BUY 442.5 454.5 432.5
19/8/16 GLENMARK 700 4 BUY 872 893 857
18/8/16 TATAGLOBAL 4500 4 BUY 139.4 142.9 136.7 141.75
17/8/16 VEDL 6000 4 BUY 171.3 175.4 168 172.6
16/8/16 TATASTEEL 2000 4 BUY 377.5 385.9 370.4 381
12/8/16 CROMPGREAV 12000 4 BUY 83.5 85.5 82 83.8
11/8/16 BHARATFUT 1000 4 SELL 797.5 777.5 812.5 784.5
10/8/16 HDIL 8000 4 BUY 102.8 105.3 100.3
9/8/16 GRANULES 5000 4 BUY 142.6 146.1 139.8
8/8/16 OFSS 150 4 BUY 3735 3830 3655 3785
5/8/16 CENTURYTEX 1100 4 BUY 699.2 714.2 788.2 711
4/8/16 BEML 500 4 BUY 979 1003 959 995.5
2/8/16 TATASTEEL 2000 4 BUY 368.7 377.5 361.9 372.2
1/8/16 LICHSGFIN 1100 4 BUY 521 533.5 511
BOOK PROFIT
NOT EXECUTED
NOT EXECUTED
73. TRACKSHEET AUG 2016
INVESTMENT 200000
% OF RETURN 85.5575
TOTAL PROFIT 171115
EXIT TOTAL P/L (Rs.)
2ND PART
32000 32000
0
13800 13800
175.3 13500 600 14100
858 17850 4200 22050
432.5 -60000
857 -42000
142.3 31725 13050 44775
171.3 23400 0 23400
382.2 21000 9400 30400
14400 14400
784 39000 13500 52500
0
139.8 -56000
3655 22500 22500
713.2 38940 15400 54340
984 24750 2500 27250
369 21000 600 21600
511 -44000
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
74. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
30/9/16 ADANIENT 8000 4 BUY 65 67.5 63.8 66.5
30/9/16 ADANIENT 8000 4 BUY 66 67.5 64.8
29/9/16 HINDPETRO 2100 4 BUY 431.2 441.2 423.2
28/9/16 ADANIPORTS 2500 4 BUY 264 270.5 259 266
27/9/16 IGL 1100 4 BUY 778.8 797.8 764.8 783.5
26/9/16 GODREJIND 1500 4 BUY 438 448 430
23/9/16 BEML 500 4 BUY 918 941 898 932
22/9/16 BEML 500 4 BUY 918 941 898
21/9/16 MOTHERSUMI 2500 4 BUY 324.5 332 318.5 328
20/9/16 OIL 1700 4 BUY 404 414 396 405
19/9/16 CADILAHC 1600 4 BUY 393 403 385 400.5
16/9/16 ANDHRABANK 10000 4 BUY 61.7 63.2 60.5
14/9/16 TATAGLOBAL 4500 4 SELL 135 131.5 138
14/9/16 PNB 7000 4 BUY 142.1 146.2 139.1 142.95
9/9/16 AJATAPHARMAT 400 4 BUY 1989 2039 1948 2012
8/9/16 SUNTV 2000 4 BUY 496.5 509 486.5
7/9/16 IRB 2500 4 BUY 235 240 230.9
7/9/16 ORIENTBANK 6000 4 BUY 129.25 132.45 126.65 131
6/9/16 IRB 2500 4 BUY 235 240 230.9
2/9/16 LICHSFGIN 1100 4 BUY 580.7 594.7 569.7 586
1/9/16 M&M 500 4 BUY 1460 1496 1430 1470.5
BOOK PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
75. TRACKSHEET SEP 2016
INVESTMENT 200000
% OF RETURN 48.05
TOTAL PROFIT 96100
EXIT TOTAL P/L (Rs.)
2ND PART
48000 48000
64.8 -38400
423.2 -67200
268.7 15000 11750 26750
20680 20680
430 -48000
922 21000 2000 23000
0
318.5 26250 -15000 11250
6800 6800
398 36000 8000 44000
0
0
23800 23800
1948 27600 -16400 11200
486.5 -80000
0
133.5 31500 25500 57000
0
595.5 11660 32560 44220
1462.5 10500 2500 13000
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
76. TRACKSHEET OCTOBER 2016
INVESTMENT 200000
BONZER FUTURE TRACK SHEET % OF RETURN -2.39
TOTAL PROFIT -4780
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL EXIT TOTAL P/L (Rs.)
1ST PART 2ND PART
27/10/16 BIOCON 1100 4 BUY 908 925 894
27/10/16 TATAELXSI 300 4 BUY 1252 1281 1227 1227 -30000
26/10/16 NCC 8000 4 SELL 94.45 92.05 96.45 93.6 27200 27200
26/10/16 JSWENERGY 8000 4 BUY 70 71.8 68.5 70.1 3200 3200
24/10/16 ADANIPORTS 2500 4 SELL 291.5 284 297.5 287.5 284.5 30000 17500 47500
24/10/16 ASIANPAINT 600 4 BUY 1142 1206 1122 1122 -48000
21/10/16 NMDC 6000 4 SELL 124.8 121.8 127.2 123.8 121.9 18000 17400 35400
20/10/16 HAVELLS 2000 4 BUY 413 423 405 405 -64000
19/10/16 ASIANPAINT 600 4 BUY 1177 1206 1154 1144 -79200
18/10/16 HDFC 500 4 BUY 1316 1349 1288 1329.5 1348.5 20250 16250 36500
17/10/16 NCC 0 4 8000 81.5 83.5 80 0
14/10/16 JSWENERGY 8000 4 BUY 70 71.8 68.6 70.85 70.85 20400 6800 27200
13/10/16 TATASTEEL 2000 4 SELL 417.5 407.5 423.5 413.4 411 16400 26000 42400
13/10/16 TECHM 1100 4 BUY 423.6 433.6 415.6 428 415.6 14520 -8800 5720
10/10/16 HEXAWARE 2000 4 BUY 185.3 189.3 181.8 187.1 185.3 7200 0 7200
7/10/16 BPCL 1200 4 SELL 666 651 678 659 666 25200 25200
6/10/16 CENTURYTEX 1100 4 BUY 976.5 1000 963 0
4/10/16 CEATIND 700 4 SELL 1363 1328 1393 1393 -84000
4/10/16 ABIRLANUVO 750 4 BUY 1401.5 1436.5 1371.5 0
3/10/16 BATAINDIA 1100 4 BUY 498.25 510.25 488.25 508 42900 42900
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
77. TRACKSHEET NOVEMBER 2016
INVESTMENT 200000
BONZER FUTURE TRACK SHEET % OF RETURN 77.678125
TOTAL PROFIT 155356.25
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL EXIT TOTAL P/L (Rs.) Description
1ST PART 2ND PART
30/11/16 WOCKPHARMA 600 4 BUY 708.5 726 694.5 717 711 15300 1500 16800 candle pattern break
28/11/16 EXIDEIND 4000 4 BUY 177 181.5 173.5 179.55 179.5 30600 10000 40600 candle pattern break
23/11/16 CEATIND 700 4 SELL 1136 1107 1159 1159 -64400 pattern break
22/11/16 CESC 1100 4 SELL 577 563 588 575 8800 8800 pattern break
21/11/16 UPL 1200 4 SELL 610.5 595.5 622.5 601.2 609.5 33480 1200 34680 pattern break
18/11/16 ALBK 10000 4 SELL 70.65 69 72.05 0 candle pattern break
17/11/16 ALBK 10000 4 SELL 70.65 69 72.05 0 candle pattern break
15/11/16 KTKBANK 7375 4 SELL 120 117 122.6 117.9 116.95 46462.5 22493.75 68956.25 candle pattern break
11/11/16 HDIL 8000 4 SELL 61.9 60.4 63.1 61.15 63.1 18000 -9600 8400 candle pattern break
10/11/16 ALBK 10000 4 BUY 72.5 74.2 71.1 74.2 68000 68000 candle pattern break
8/11/16 HEXAWARE 2000 4 BUY 207.9 212.5 204.4 0 resisitance
4/11/16 BATAINDIA 1100 4 BUY 463.1 473.1 455.1 469.5 463.1 21120 0 21120 indicator buy with support
3/11/16 AUROPHARMA 700 4 BUY 793.5 813.5 776.5 776.5 -47600 indicator buy with support
2/11/16 ARVIND 2000 4 SELL 412.7 402.7 420.2 0 resisitance
1/11/16 CANBK 3000 4 SELL 309.4 303 314.8 0 support breakNOT EXECUTED
NOT EXECUTED
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
78. BONZER FUTURE TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
28/12/16 IGL 1100 4 BUY 896 919 876 905.4
23/12/16 ASHOKLEY 7000 4 SELL 77 75.1 78.5 76.3
20/12/16 AJANTAPHARMA 400 4 SELL 1780 1735 1819 1766
16/12/16 ABIRLANUVO 750 4 SELL 1209 1179 1233 1194
14/12/16 BHARATFIN 1000 4 SELL 671 654 685 662.7
13/12/16 CENTURYTEX 1100 4 SELL 786.5 767.5 801.5 776.5
12/12/16 HINDPETRO 2100 4 SELL 440.5 429.5 449.5 436.5
9/12/16 WIPRO 1000 4 BUY 462.5 473.5 453.5
8/12/16 PTC 8000 4 BUY 76.15 78.05 74.65
7/12/16 ADANIPORT 4000 4 BUY 276 282.5 270.5 278.8
6/12/16 PFC 6000 4 BUY 131.85 134.85 129.45
5/12/16 BHEL 5000 4 SELL 126.5 123.5 129.1 126.4
2/12/16 PNB 7000 4 SELL 135 131.5 138 133.3
1/12/16 DLF 5000 4 SELL 113.8 111 116.1 112.5
1/12/16 SRTRANSFIN 600 4 SELL 906 885 923 NOT EXECUTED
BOOK PROFIT
NOT EXECUTED
79. TRACKSHEET DECEMBER 2016
INVESTMENT 200000
% OF RETURN 127.5975
TOTAL PROFIT 255195
EXIT TOTAL P/L (Rs.) Description
2ND PART
888 31020 -8800 22220
78.5 14700 -10500 4200
1735 16800 18000 34800
1193.5 33750 11625 45375
653.6 24900 17400 42300
780 33000 7150 40150
434 25200 13650 38850
453.5 -36000
74.65 -48000
281 33600 20000 53600
2000 2000
136 35700 -7000 28700
112.3 19500 7500 27000
NOT EXECUTED
BOOK PROFIT PROFIT
NOT EXECUTED
80. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
31/1/17 APOLLOTYRE 3000 4 SELL 182 177.5 185.5 180.55
31/1/17 AUROPHARMA 700 4 SELL 690 672.5 704 688
30/1/17 PETRONET 1500 4 BUY 397.35 407.35 389.35
30/1/17 L&TFH 9000 4 SELL 100.5 98 103.5 100.2
27/1/17 CENTURYTEX 1100 4 BUY 850.5 870.5 835.5 858.5
27/1/17 GODREJCP 400 4 BUY 1569.5 1606.5 1539.5
25/1/17 TV18BRDCST 17000 4 BUY 36.75 37.65 36.15 36.85
25/1/17 PFC 6000 4 BUY 135.5 138 132.6 136.5
25/1/17 MINDTREE 1200 4 SELL 468 453 478 464.3
25/1/17 CEATIND 700 4 SELL 1165 1128 1186
24/1/17 CENTURYTEX 1100 4 BUY 831 851 816 837.3
24/1/17 CUNMMINSIND 600 4 BUY 841.75 861.75 826.75 846.3
24/1/17 CEATIND 700 4 SELL 1165 1128 1186
24/1/17 AMBUJACEM 2500 4 BUY 222.5 227.5 218.6
23/1/17 MINDTREE 1200 4 SELL 466.5 454.5 476
20/1/17 ADANIENT 8000 4 BUY 81.4 83.4 79.9 82.05
20/1/17 SUNTV 2000 4 BUY 535 547.5 525
19/1/17 TATASTEEL 2000 4 BUY 467.6 479.6 458.6 468.6
19/1/17 ABIRLANUVO 400 4 BUY 1287 1319 1261 1300
19/1/17 PTC 8000 4 SELL 82.9 80.9 84.4
18/1/17 ACC 400 4 BUY 1342 1372 1316 1356
18/1/17 IBREALEST 10000 4 BUY 81.1 83.1 79.6 81.8
17/1/17 ZEEL 1300 4 BUY 485.5 497.5 476.5 486.5
17/1/17 ABIRLANUVO 400 4 BUY 1281.5 1307 1260.5
16/1/17 APOLLOTYRE 3000 4 SELL 187.5 183 191.4 187.1
16/1/17 ADANIENT 8000 4 SELL 77.8 75.8 79.5
13/1/17 L&TFH 9000 4 SELL 95.2 92.8 97.2 95
12/1/17 EXIDEIND 4000 4 BUY 187.7 192.2 183.8
11/1/17 AUROPHARMA 700 4 BUY 705 722.5 691 707.6
11/1/17 CIPLA 1000 4 SELL 575.9 561.9 586.9 573
10/1/17 BATAIND 1100 4 SELL 460.6 449.6 469.6
9/1/17 ADANIENT 8000 4 SELL 78.5 76.5 80.1
9/1/17 HINDALCO 3500 4 SELL 160.4 156.3 163.6 159.3
6/1/17 ASIANPAINT 600 4 BUY 924.6 948.6 904.6 932
5/1/17 DHFL 3000 4 SELL 247.3 241.3 252.3
4/1/17 ARVIND 2000 4 SELL 359 350 367.5
3/1/17 DLF 5000 4 SELL 117.4 114.4 121
3/1/17 PTC 5000 4 BUY 74.5 76.5 73 NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
BOOK PROFIT
81. TRACKSHEET JANUARY 2017
INVESTMENT 200000
% OF RETURN -22.21
TOTAL PROFIT -44420
EXIT TOTAL P/L (Rs.)
2ND PART
181 13050 3000 16050
5600 5600
0
10800 10800
858 26400 8250 34650
1600 48800 48800
6800 6800
24000 24000
17760 17760
1175 -28000
831 20790 0 20790
841.75 8190 0 8190
476 -45600
79.9 15600 -12000 3600
525 -80000
8000 8000
1287 15600 0 15600
1358 16800 6400 23200
83.1 21000 20000 41000
5200 5200
4800 4800
0
7200 7200
183.8 -62400
7280 7280
575.9 8700 0 8700
469.6 -39600
15400 15400
932 13320 4440 17760
0
367.5 -68000
121 -72000
0NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
BOOK PROFIT PROFIT
82. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
28/2/17 HINDZINC 3200 4 BUY 309.3 316.8 303.3 310.75
27/2/17 STER 500 4 BUY 1188 1217 1168 1196.5
23/2/17 DIVISLAB 600 4 BUY 754.5 771.5 740.5
22/2/17 COALINDIA 1700 4 BUY 323 330.5 318 327.2
22/2/17 ALBK 10000 4 BUY 72.35 74.05 70.95
21/2/17 INDIACEM 3500 4 BUY 163.8 167.7 160.8 166.1
21/2/17 CENTURYTEX 1100 4 BUY 935 958 917 944.6
20/2/17 BEML 600 4 BUY 1302.5 1332.5 1281.5 1321.7
20/2/17 DLF 5000 4 BUY 143.5 147 140.8 145.8
20/2/17 BATAINDIA 1100 4 BUY 504.6 517 495.6
17/2/17 HINDPETRO 2100 4 BUY 539.75 551.75 530.75 544.8
17/2/17 PTC 8000 4 BUY 86.2 88.2 84.7 86.6
17/2/17 IOC 3000 4 BUY 382.75 391.75 376.75 383
17/2/17 ADANIENT 8000 4 BUY 94.3 96.8 92.8 94.5
17/2/17 CESC 1100 4 BUY 859.7 879.7 845.7 861
16/2/17 BANKBARODA 3500 4 BUY 165.85 169.75 162.85 167.95
16/2/17 ASHOKLEY 7000 4 BUY 93.65 95.95 91.65 93.85
15/2/17 HINDALCO 3500 4 BUY 188.8 193.3 185.3 189.2
15/2/17 LICHSGFIN 1100 4 BUY 545.5 558 535.5 548
15/2/17 KSCL 1500 4 BUY 458 499.75 448.9
14/2/17 KSCL 1500 4 BUY 471 499.75 460
14/2/17 TATAPOWER 9900 4 BUY 83.75 85.75 82.25 83.85
13/2/17 M&MFIN 2500 4 BUY 291.5 312.5 285 296.2
13/2/17 KSCL 1500 4 BUY 487.75 499.75 472.5
10/2/17 LICHSGFIN 1100 4 BUY 565.1 579.1 554.1
9/2/17 M&MFIN 2500 4 BUY 305 312.5 295
8/2/17 IDFC 13200 4 BUY 57.6 59 56.5
7/2/17 LICHSGFIN 1100 4 BUY 566.3 580.3 555.3
6/2/17 SRF 500 4 BUY 1718.5 1760.5 1686.5 1737
3/2/17 PTC 8000 4 BUY 86.75 88.75 82.25
3/2/17 ABIRLANUVO 400 4 BUY 1422 1457 1396 1439
2/2/17 PTC 8000 4 BUY 86.75 88.75 82.25
2/2/17 LICHSGFIN 1100 4 BUY 575 590 564
BOOK PROFIT
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
83. INVESTMENT 200000
% OF RETURN 117.2125
TOTAL PROFIT 234425
EXIT TOTAL P/L (Rs.)
2ND PART
310.8 13920 4800 18720
1181 12750 -3500 9250
750 -10800
327.5 21420 7650 29070
167.7 24150 13650 37800
935 31680 0 31680
1321.8 34560 11580 46140
147.9 34500 22000 56500
495.6 -39600
543.5 31815 7875 39690
12800 12800
3000 3000
6400 6400
5720 5720
167 22050 4025 26075
5600 5600
5600 5600
11000 11000
480.5 135000 135000
460 -66000
3960 3960
47000 47000
472.5 -91500
295 -100000
56.5 -58080
0
1737 27750 9250 37000
0
1452 20400 12000 32400
0
0
BOOK PROFIT PROFIT
NOT XECUTED
TRACKSHEET FEB 2017
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
NOT XECUTED
84. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
29/3/17 ALBK 10000 4 BUY 73.1 74.9 71.6 74.4
28/3/17 ALBK 10000 4 BUY 73.1 74.9 71.6
27/3/17 PETRONET 1500 4 BUY 398.5 408.5 492 402.25
27/3/17 GAIL 2000 4 BUY 384.3 393.3 377.8
24/3/17 UPL 1200 4 BUY 736 753.5 724
23/3/17 DIVISLAB 600 4 BUY 646.5 662.6 634.5
20/3/17 CUMMINSIND 600 4 BUY 904 925 889 917.5
15/3/17 GODREJIND 1500 4 BUY 507 519.5 497
14/3/17 IBREALEST 10000 4 BUY 81.4 83.4 79.9 82.3
10/3/17 AXISBANK 1200 4 BUY 517.7 530.2 507.7 518.3
9/3/17 ENGINERSIND 7000 4 BUY 144.5 148 141.7 146.3
8/3/17 EXIDEIND 4000 4 BUY 216.5 221.5 212.6
7/3/17 ADANIENT 8000 4 BUY 96.15 98.65 94.15 97.3
3/3/17 NTPC 4000 4 BUY 157.25 161.15 154.25 159
2/3/17 KSCL 1500 4 BUY 506.9 519.9 497.9
1/3/17 JSWSTEEL 3000 4 BUY 189.5 194 186 192.8
BOOK PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
85. INVESTMENT 200000
% OF RETURN 99.9525
TOTAL PROFIT 199905
EXIT TOTAL P/L (Rs.)
2ND PART
74.1 39000 10000 49000
0
405 16875 9750 26625
0
0
0
912 24300 4800 29100
0
83.35 27000 19500 46500
2880 2880
145.5 37800 7000 44800
212.6 -62400
99.5 27600 26800 54400
159.2 21000 7800 28800
497.9 -54000
191 29700 4500 34200
TRACKSHEET MAR 2017
BOOK PROFIT PROFIT
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
NOT EXECUTED
86. BONZER EQUITY TRACK SHEET
DATE SCRIPT SHARE LOT POSITION LEVEL TARGET SL
1ST PART
18/4/17 BANKBARODA 3500 4 BUY 178.6 183.1 175 181.8
17/4/17 ZEEL 1300 4 BUY 525.5 538 516.5 527
13/4/17 BAJAUTO 250 4 BUY 2857 2927 2807 2860
12/4/17 INDIACEM 3500 4 BUY 165.4 173.9 162 OPEN
12/4/17 INDIACEM 3500 4 BUY 170 173.9 166
11/4/17 JUUSTDIAL 1200 4 BUY 529 541.5 520 534.9
10/4/17 KOTAKBANK 800 4 SELL 874.5 854.5 890 870.5
7/4/17 GAIL 2000 4 BUY 388 398 380
6/4/17 ENGINERIND 7000 4 BUY 152.2 156 149.2 153.5
5/4/17 CANBK 3084 4 BUY 305.5 313 299.5 311.6
BOOK PROFIT
87. INVESTMENT 200000
% OF RETURN 37.9042
TOTAL PROFIT 75808.4
EXIT TOTAL P/L (Rs.)
2ND PART
179 33600 1400 35000
7800 7800
3000 3000
OPEN
166 -56000
530.8 21240 2160 23400
12800 12800
380 -64000
36400 36400
312.3 56437.2 20971.2 77408.4
TRACKSHEET APR 2017
BOOK PROFIT PROFIT