Wednesday, January 12, 2022

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Stock Selection List from 11-Jan-22


The first list is good for finding stocks that have just started rising and so there is room for more rise in the immediate future. They can also give second chance to exit if market is not in good shape. As proven time and again, these also help finding stocks early on before they take off. Some examples of that are Justdial (120%), Somanycera (200%), Adanigas (350%), CGCL (150%), Saregama (300%), Prajind (300%), etc.

The second list is good for finding stocks that you are already holding or familiar with to hold for some more time and exit partially after a big single day rise. A stock shows up repeatedly in second list to give you chances to prepare to partially sell the stocks.

The third list is to catch good stocks when they are falling. But it can be risky. So some fundamental screening is mandatorily required, otherwise they may not give second chance to exit, unlike the first list. If you already know some good stocks and they show up in the third list, it could be good opportunity to accumulate them.

Important note: No stock goes up a lot without showing up in either of the first two lists here. Similarly no stock goes into downtrend without showing up in the third list here.

This day's primary list:
company symbol today's close price % rise today avg volume avg. turnover in cr.
ADANIPORTS 765.1 3.6 4394200 336.2
BALAJITELE 67.8 6 185791 1.26
BASF 3178.7 7.4 42828 13.61
BCG 187.8 5 4364948 81.97
CTE 92.5 14.1 205093 1.9
DHUNINV 789.2 20 8904 0.7
DSML 134.9 2.2 100320 1.35
DSSL 192.8 20 54918 1.06
EMAMIPAP 171.6 19.8 82110 1.41
FCL 150.9 11.4 1057497 15.96
GEEKAYWIRE 87.8 9.4 24052 0.21
GROBTEA 1175.8 20 1146 0.13
HARRMALAYA 171.2 6.9 49817 0.85
JUSTDIAL 862.5 6.4 1039276 89.64
KOLTEPATIL 325.4 5.6 357265 11.63
LASA 77.2 12.4 267595 2.07
MARKSANS 64 4 1709564 10.94
NLCINDIA 66.2 5.2 2394923 15.85
ORICONENT 42.6 8.4 600561 2.56
PCJEWELLER 27.3 1.3 1898783 5.18
PODDARMENT 332 6 13204 0.44
PRAKASH 59.6 5.4 750105 4.47
SEYAIND 64 9 38810 0.25
SHALBY 151.4 8.8 218669 3.31
TEXINFRA 68.5 3.9 156998 1.08
UFO 103.7 10.4 507403 5.26
UNITEDTEA 412.3 20 2418 0.1
VAISHALI 39.4 5.3 60143 0.24
VIPIND 584.3 6.7 520952 30.44

The second list:
company symbol today's close price % rise today avg volume avg. turnover in cr.
AAVAS 2903.9 6.2 66358 19.27
ADANIENT 1843.9 5.2 2070295 381.74
ADROITINFO 12.8 4.9 24768 0.03
AGRITECH 69.3 5 5497 0.04
ANSALAPI 13.4 0.8 266838 0.36
ATLANTA 21.1 5 74843 0.16
BEML 1892.1 2.2 597401 113.03
BERGEPAINT 786.2 0.3 731169 57.48
BHAGYANGR 51.3 1.3 56375 0.29
CESC 91.8 2.1 2756396 25.3
CIGNITITEC 597 0.7 96943 5.79
CUMMINSIND 974.8 2.4 589212 57.44
DCM 139.3 3.8 34038 0.47
DEVIT 92.6 19.9 18570 0.17
DHANBANK 15.2 1 572321 0.87
GALLISPAT 54 3.3 29819 0.16
GENESYS 345.4 5 103845 3.59
GICHSGFIN 157.1 3.9 173092 2.72
GILLANDERS 65.8 4.9 9776 0.06
HAPPSTMNDS 1343.4 1.6 172703 23.2
HBLPOWER 65.8 1 1767358 11.63
HEXATRADEX 149.3 5 10401 0.16
HLVLTD 11.2 3.2 193050 0.22
HSIL 237.1 4.5 148795 3.53
ICICIMCAP 107.3 0.5 18509 0.2
ICICITECH 393.6 1.3 253207 9.97
ICIL 270.9 3.5 490523 13.29
INDOSTAR 271 8 125629 3.4
INFIBEAM 42.2 1.6 2947063 12.44
INOXWIND 131.8 3.1 1067467 14.07
ITDCEM 82.7 3.2 644064 5.33
J&KBANK 39 0.4 4076338 15.9
JAICORPLTD 134.4 1.5 2504694 33.66
KANANIIND 16.9 5 65729 0.11
KAYA 474 0.6 25241 1.2
KSOLVES 371.4 2.5 20592 0.76
LINCOLN 367.1 1 96023 3.53
MOLDTECH 87.3 5.4 61899 0.54
NAM-INDIA 369.9 2.1 655983 24.26
NCC 75.5 2.2 4037557 30.48
NELCO 793.7 5 43398 3.44
NETFIT 39.4 0.8 1024306 4.04
ORIENTBELL 364.9 1.3 22408 0.82
PETRONET 226.2 1.3 1893524 42.83
PNCINFRA 303.4 2.4 354656 10.76
POKARNA 719.9 3.3 75689 5.45
PPL 151.1 7.4 88375 1.34
PREMIERPOL 93.4 4.5 29924 0.28
PVR 1482.8 3.4 1289236 191.17
REFEX 139.5 2.4 143622 2
ROUTE 1864.3 2.8 136440 25.44
SAKUMA 14.5 4.7 708195 1.03
SALASAR 263.7 2.1 68800 1.81
SASKEN 1356.1 5.6 35747 4.85
SUBCAPCITY 24 4.8 325 0
SUNDRMBRAK 383.1 2.4 2443 0.09
SUNPHARMA 832.4 0.7 4076864 339.36
SYMPHONY 1035.3 1.5 26918 2.79
SYNGENE 630 0.3 678563 42.75
TATACHEM 972.2 3.5 1367584 132.96
TATAPOWER 233.1 0.6 45346656 1057.03
TCI 821.6 5.5 233291 19.17
TEJASNET 469.2 5 316197 14.84
TIMESGTY 54.9 9.9 10751 0.06
TRENT 1119.2 4.4 812264 90.91
TRF 149.7 5 13068 0.2
TRIDENT 56 5 23519338 131.71
USHAMART 97.8 6.1 805727 7.88
UTIAMC 1094.1 1.2 212957 23.3
VMART 3892.5 2.7 23077 8.98
VRLLOG 494.9 6.5 329310 16.3
WENDT 5401.1 4.2 1402 0.76
XELPMOC 432.4 6.7 26297 1.14

The third list:
company symbol today's close price % rise today avg volume avg. turnover in cr.
ATULAUTO 193.2 -0.7 156951 3.03
CADILAHC 445.8 -1.8 2181736 97.26
DMART 4504.9 -2.8 416482 187.62
EBBETF0430 1189 -0.2 12437 1.48
EMAMILTD 503.3 -1.3 507598 25.55
FINPIPE 198.6 -1.1 511768 10.16
GILLETTE 5262.7 -0.6 4294 2.26
GULFOILLUB 454.4 -1.1 105116 4.78
IDEA 11.8 -20.5 429000216 506.22
IGL 463.5 -1.1 1968871 91.26
INDIAMART 6504.1 -1.5 120251 78.21
JITFINFRA 126 -4.9 54157 0.68
QUESS 792.5 -3.1 175246 13.89
RPGLIFE 584 -1.6 52128 3.04
SAIL 104.4 -4.9 39221121 409.47
SOMATEX 8.8 -4.8 44174 0.04
SSWL 760.3 -3.5 30347 2.31
SWSOLAR 376.2 -0.5 728199 27.39
VIPULLTD 23.8 -0.2 46670 0.11
ZYDUSWELL 1844.3 -0.8 20472 3.78

Note: Here today refers to the date of the list.

Good stocks from today's list:
BCG
FCL
MARKSANS

Big % potential stocks (but risky): 
FCL

Good for medium term:
BASF
JUSTDIAL
KOLTEPATIL
MARKSANS
VIPIND

Commentary:
From today I am adding another filtered list at the end "Good for medium term". The first list is good stocks for short term. Both filtered lists are made from first list only. Some of them could take few weeks but they have good probability for short term potential. For ex, adanipower showed up on Monday. I bought it yesterday. Today it is at UC of 10%.

Now the third filtered list is also made from first list. However here I am filtering for a chart pattern for a potential for medium term timeframe (3-6 months) and overall bigger % gain (25% or more). This helps us focus on few stocks over longer period of time so we save time and effort. As always, there is probability for every filter which is never 100%. So some wouldn't lead to expected profit. We need to manage to close all positions so the net avg. gain on portfolio is decent whenever major market reversal starts.

Read the disclaimer before making any investment/trading decisions.

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