Hello all ,
Here you will get a free signals for four pairs
Eur/Usd Usd/Chf Gbp/Usd Usd/Jpy
signals is one time a day at 9 am
here http://freesignalsonline.blogspot.com


[Safe Forex Trading System] Be Careful when Eating Apples!!!




 

Be Careful when eating apples

Please don't eat the skin of the apple because it's coated with wax.

Check before you eat many of the fruits.

WAX is being used for preservation purposes and cold storage.

You might be surprised especially apples from USA and other parts are more than one year old, though it would look fresh. Becox wax is coated, preventing bacteria to enter. So it does not get dry.

Please Eat Apples after removing the wax as demonstrated below. Please follow this and let know others...... .....

Hope it will be of benefit to you & others.

 




--

Ravi

http://www.webspawner.com/users/ravindra/

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Some of them are best....

 
 

  


 
 

 
 
 
 

 
 

 

 
 

 
 
 
 
 
 
 
Very True !

 

 

 

 
 
 

 
 

BEANAVATAR !

 
 
 
 

 
 
 

 

 

 

 

 

 





--

Ravi

http://www.webspawner.com/users/ravindra/

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Forex Signal BUY USDCAD @1.0211

Signal Time:
GMT : 2012.07.10 05:00:00 (GMT)
JAKARTA : 2012.07.10 12:00:00 (WIB)
KUALA LUMPUR : 2012.07.10 13:00:00 (GMT+8)

Trading: BUY USDCAD @ 1.0211
SL: Stop Loss @ 1.0193
TP: Take Profit @ 1.0235
Current Trend: UP TREND


http://wssforexsignal.com


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Today's Intraday Strategy, refer "ENCLOSED Calc.  " 


10 July 12 Ravi' s - Date with Nifty Futures - Happy Trading (Intraday)
 
Ravi's Interpretation of Nifty Future (Intraday).
 
 Please find enclosed  the ready reckoner :

1. Intraday Support and Resistance Zones.
2. Different Trading systems.
a. Pivot
b. Camarilla
c. Gann
d. Fibonacci advanced
e. Elliot Wave
f. ORB
g. Fibonacci Hourly,Daily, Weekly, Monthly.
h. Strong Resistance and Support Levels.
 
Watch out for Volumes at these important levels and trade accordingly.
 
1. Check the Market Trend 
 
a. Trending UP
or
b. Trending  DOWN.
or
c. Sideways

Your feed back is welcome. 

GOD BLESS!
 
Happy Trading.

-Ravi
PS: While due care has been taken in preparing the  Analysis, no responsibility can be or is assumed for any consequences resulting out of acting on it.

'Too lazy to work, too shy to steal or cheat , therefore I trade.

"First they ignore you, then they laugh at you, then they fight you, and then you win.

M.K. Gandhi

My Motto:

Fight the FII's out of our Country.

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General Insurance: B. Dasgupta
More Details:-
http://www.myallagents.com/General-Insurance-B-Dasgupta/details.html
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How IRDA's draft health insurance rules affect consumers
More Details:-
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New senior managers can't enjoy group pension scheme, says IRDA
More Details:-
www.myallagents.com/New-senior-managers-cant-enjoy-group-pension-scheme-says-IRDA/details.html
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Insurance loses sheen; talent crunch one culprit: HDFC Life
More Details:-
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Forex Signal SELL AUDUSD @1.0161

Signal Time:
GMT : 2012.07.10 04:00:06 (GMT)
JAKARTA : 2012.07.10 11:00:06 (WIB)
KUALA LUMPUR : 2012.07.10 12:00:06 (GMT+8)

Trading: SELL AUDUSD @ 1.0161
SL: Stop Loss @ 1.0189
TP: Take Profit @ 1.0124
Current Trend: DOWN TREND


http://wssforexsignal.com


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Forex Signal SELL GBPUSD @1.5500

Signal Time:
GMT : 2012.07.10 04:00:04 (GMT)
JAKARTA : 2012.07.10 11:00:04 (WIB)
KUALA LUMPUR : 2012.07.10 12:00:04 (GMT+8)

Trading: SELL GBPUSD @ 1.5500
SL: Stop Loss @ 1.5531
TP: Take Profit @ 1.5459
Current Trend: DOWN TREND


http://wssforexsignal.com


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Forex Signal SELL NZDUSD @0.7961

Signal Time:
GMT : 2012.07.10 02:00:05 (GMT)
JAKARTA : 2012.07.10 09:00:05 (WIB)
KUALA LUMPUR : 2012.07.10 10:00:05 (GMT+8)

Trading: SELL NZDUSD @ 0.7961
SL: Stop Loss @ 0.7986
TP: Take Profit @ 0.7928
Current Trend: DOWN TREND


http://wssforexsignal.com


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Click the Link Below to Review: EUR/USD Falls to a 2-Year Low . . . for No Good Reason at All?

http://www.invest2success.com/investing_trading_articles.html




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Arabian GCC Stock Markets

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http://www.invest2success.com/stock_option_forex_futures_brokers.html


Investing Trading Seminars Webinars Workshops Events

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Good day, good investing and trading!

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Forex Signal SELL GOLD @1586.60

Signal Time:
GMT : 2012.07.09 22:20:56 (GMT)
JAKARTA : 2012.07.10 05:20:56 (WIB)
KUALA LUMPUR : 2012.07.10 06:20:56 (GMT+8)

Trading: SELL GOLD @ 1586.60
SL: Stop Loss @ 1592.60
TP: Take Profit @ 1576.60
Current Trend: DOWN TREND


http://wssforexsignal.com


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Forex Signal SELL USDCAD @1.0196

Signal Time:
GMT : 2012.07.09 19:01:04 (GMT)
JAKARTA : 2012.07.10 02:01:04 (WIB)
KUALA LUMPUR : 2012.07.10 03:01:04 (GMT+8)

Trading: SELL USDCAD @ 1.0196
SL: Stop Loss @ 1.0224
TP: Take Profit @ 1.0159
Current Trend: DOWN TREND


http://wssforexsignal.com


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Forex Signal BUY AUDUSD @1.0202

Signal Time:
GMT : 2012.07.09 18:06:25 (GMT)
JAKARTA : 2012.07.10 01:06:25 (WIB)
KUALA LUMPUR : 2012.07.10 02:06:25 (GMT+8)

Trading: BUY AUDUSD @ 1.0202
SL: Stop Loss @ 1.0161
TP: Take Profit @ 1.0257
Current Trend: UP TREND


http://wssforexsignal.com


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Follow us on....
 

Text goes here

 
 
 
 
 
 
 
 
In this Issue...
 
  • Get up to date - Breaking News  

  • Read what our Top Contributors are saying 

  •  

    By Christopher Vecchio, DailyFX Currency Analyst

    The carry trade continued to unwind on Monday as the Australian and New Zealand Dollars continued to shed ground against the safe havens, the Japanese Yen and the US Dollar. Pressure has been on high beta currencies and risk-correlated assets as Asian investors react to Friday's disappointing US Nonfarm Payrolls report for June, as well as some discouraging Chinese data in the overnight that suggests deflation may be becoming a concern for policymakers in one of the world's most important economies.

    With the issues raised thus far on Monday firmly rooted in Asia, the Euro has had a chance to consolidate slightly to the downside against the Japanese Yen and the US Dollar. As the technical notes show below, it's evident that the EURUSD is deeply oversold, with these extreme technical conditions saturating even the 8-hour charts. It's of my opinion that, without a significant catalyst, the EURUSD is primed to consolidate if not rebound in the coming periods before the next leg of the sell-off hits.

    For now, we continue to watch European credit markets as our guide. The Italian 2-year note yield has risen to 4.067 % (+34.4-bps) while the Spanish 2-year note yield has risen to 4.877% (+15.3-bps). The Italian 10-year note yield has risen to 6.094% (+10.0-bps) while the Spanish 10-year note yield has risen to 6.995% (+12.5-bps); higher yields imply lower prices.

    RELATIVE PERFORMANCE (versus USD): 10:28 GMT

    JPY: +0.11%
    CHF: +0.09%
    EUR: +0.09%
    CAD: -0.03%
    GBP: -0.06%
    AUD:-0.38%
    NZD: -0.41%
    Dow Jones FXCM Dollar Index (Ticker: USDOLLAR): +0.03% (+1.08% past 5-days)

    ECONOMIC CALENDAR
     
     
    The economic docket is rather dry in the coming hours, with perhaps the most important event being the US Consumer Credit report for May. Beyond today's docket, we continue to look for headlines out of Europe as the ECOFIN Council meets to discuss further measures to stem the crisis.
     
    TECHNICAL OUTLOOK

    EURUSD:
     
     
    The Symmetrical Triangle on the daily chart has broken to the downside, and we have traded into our first level of support at 1.2285/90. The new yearly lows set on Friday and today at 1.2255/90 suggest further losses ahead; though with the pair significantly oversold even up to the 8-hour chart, it's likely that, without a catalyst, the EURUSD consolidates or rallies in the periods ahead. Given the measured move and Fibonacci extensions, we are looking for a move towards 1.1695-1.1875 over the next eight-weeks. Resistance now comes in at 1.2440/80, former support on the Symmetrical Triangle.
     
    USDJPY: 
     
     
    The USDJPY is working on an Inverted Head & Shoulders pattern off of the June 1 low, with the neckline coming in at 80.60/70. Only a daily close above this level will signal the commencement of this pattern. With the Head at 77.60/70, this suggests a measured move towards 83.60/70 once initiated. Near-term support comes in at 78.90/95 (200-DMA). Price action to remain range bound as long as advances are capped by 80.60/70.
     
    GBPUSD:
     
     
    Fresh news lows on Friday at 1.5460 have yielded little follow-through thus far on Monday, and it appears that we have the early stages of a Doji daily candle (also an Inside Day) at work on the daily chart. This would signal a near-term reversal and clear the way for some GBPUSD strength over the next few sessions. Resistance comes in at 1.5600/05 (20-DMA) then the monthly high at 1.5720/25. Near-term support comes in at 1.5460 then 1.5425 (Bollinger Band).
     
    AUDUSD:
     
     
    The pair has settled back below the crucial 1.0250/60 area (100-DMA, 200-DMA) and has since pulled back below the pivotal 1.0210/15 level. It thus appears, now that there was a new low set on Friday, that prices have reversed and further losses are ahead. Near-term resistance comes in at 1.0250/60 and 1.0325/30 (monthly high); a break above 1.0325/30 would signal a reversal and point to more gains towards 1.0365/85. Support now comes in at 1.0120/25 (20-DMA), 1.0080 (former intraday swing highs), and 1.0005/10 (50-DMA, Bollinger Band).
     

    --- Written by Christopher Vecchio, DailyFX Currency Analyst



    Trading foreign exchange on margin carries a high level of risk, and may not be suitable for all investors. The high degree of leverage can work against you as well as for you. Before deciding to trade foreign exchange you should carefully consider your investment objectives, level of experience, and risk appetite. The possibility exists that you could sustain a loss of some or all of your initial investment and therefore you should not invest money that you cannot afford to lose. You should be aware of all the risks associated with foreign exchange trading, and seek advice from an independent financial advisor if you have any doubts. Any opinions, news, research, analyses, prices, or other information contained in this email are provided as general market commentary, and do not constitute investment advice. Dailyfx will not accept liability for any loss or damage, including without limitation to, any loss of profit, which may arise directly or indirectly from use of or reliance on such information. The content in this email is subject to change at any time without notice, and is provided for the sole purpose of assisting traders to make independent investment decisions. Dailyfx has taken reasonable measures to ensure the accuracy of the information, however, does not guarantee its accuracy, and will not accept liability for any loss or damage which may arise directly or indirectly from the content or your inability to access the content, for any delay in or failure of the transmission or the receipt of any instruction or notifications sent through this email. Please read the full disclosures here. Additionally, Dailyfx takes your privacy seriously. Please click here to read our privacy policy.
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    Nifty Futures
    Total Gain = 5296-5275=21 Points
    Happy trading
    Ravi

    On Mon, Jul 9, 2012 at 10:43 AM, Ravi Palwankar <ravipalwankar@gmail.com> wrote:

    Today's Intraday Strategy, refer "ENCLOSED Calc.  " 


    9 July 12 Ravi' s - Date with Nifty Futures - Happy Trading (Intraday)
     
    Ravi's Interpretation of Nifty Future (Intraday).
     
     Please find enclosed  the ready reckoner :

    1. Intraday Support and Resistance Zones.
    2. Different Trading systems.
    a. Pivot
    b. Camarilla
    c. Gann
    d. Fibonacci advanced
    e. Elliot Wave
    f. ORB
    g. Fibonacci Hourly,Daily, Weekly, Monthly.
    h. Strong Resistance and Support Levels.
     
    Watch out for Volumes at these important levels and trade accordingly.
     
    1. Check the Market Trend 
     
    a. Trending UP
    or
    b. Trending  DOWN.
    or
    c. Sideways

    Your feed back is welcome. 

    GOD BLESS!
     
    Happy Trading.

    -Ravi
    PS: While due care has been taken in preparing the  Analysis, no responsibility can be or is assumed for any consequences resulting out of acting on it.

    'Too lazy to work, too shy to steal or cheat , therefore I trade.

    "First they ignore you, then they laugh at you, then they fight you, and then you win.

    M.K. Gandhi

    My Motto:

    Fight the FII's out of our Country.





    --

    Ravi

    http://www.webspawner.com/users/ravindra/

    --
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    SMART PROFIT LATEST PICK

    BUY KAMANWALA HOUSING CONSTRUCTION
    BSE : 511131
    CMP: 36
    Target : 60 in 4 months

    Kamanwala Housing Construction Limited (KHCL), a company with a 25-year track record, based at Mumbai is into construction and development of commercial and residential buildings.

    It owns the famous Filmistan studio in partnership and has been in news recently that it is selling the land for a whooping amount of Rs.600 cr. Kamanwala completed a commercial project "Pinnacle Corporate Park" at Mumbai's most developing commercial hub Bandra Kurla Complex. Kamanwala's Savoy Residence, a residential project of 60000 sq ft. in Santacruz West has been completed. Work at Savoy chambers, a commercial project of 67000 sq.ft in Santacruz West is completed. Kamanwala is constructing 5 towers residential project in Malad West .They are developing SRA project at Mahim. Kamanwala owns 125000 sq ft of land in Oshiwara area. They are soon starting with development of 35 acres of land in Hyderabad. Kamanwala holds huge land in Noida and Turbhe as well.

    With total land asset of more than Rs.1000 cr, market is severely undervalued at 36 with market capital of Rs.45 cr.

    Considering the zeroing of debt the company has undertaken, completion of its various projects and its land bank, we recommend a STRONG BUY on Kamanwala with target of 60 in 4 months and more than Rs.100 within a year.

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    The Next Major Markets Move

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    Subject: How to read your PAN Card
      
     
    pan card.jpg
     
    PAN is a 10 digit alpha numeric number, where the first 5 characters are letters, the next 4 numbers and the last one a letter again.
     
    These 10 characters can be divided in five parts as can be seen below. The meaning of each number has been explained further.
    1. First three characters are alphabetic series running from AAA to ZZZ
    2. Fourth character of PAN represents the status of the PAN holder.
    • C — Company
    • P — Person
    • H — HUF(Hindu Undivided Family)
    • F — Firm
    • A — Association of Persons (AOP)
    • T — AOP (Trust)
    • B — Body of Individuals (BOI)
    • L — Local Authority
    • J — Artificial Juridical Person
    • G — Government
    3. Fifth character represents first character of the PAN holder's last name/surname.
    4. Next four characters are sequential number running from 0001 to 9999.
    5. Last character in the PAN is an alphabetic check digit.

    Nowadays, the DOI (Date of Issue) of PAN card is mentioned at the right (vertical) hand side of the photo on the PAN card.




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    Ravi

    http://www.webspawner.com/users/ravindra/

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    Group: http://groups.google.com/group/globalspeculators/topics

      Kameshwara Rao <kameshwararaos@gmail.com> Jul 09 09:40AM +0530  

      ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:26PM +0530  

      Telecom Sector Report for the week (09 - 13.07.2012)
       
      Telecom stocks are seen trading higher next week on the back of the split
      judgement given by the Telecom Disputes Settlement and Appellate ...more
      Amit shah <imamitshah@gmail.com> Jul 09 12:18PM +0530  

      pfa
      ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 12:39PM +0530  

      Capital Goods Sector Report for the week (09 - 13.07.2012)
       
      Stocks of capital goods and engineering companies are likely to be
      rangebound with a negative bias for better part of next week, in ...more
      RAJESH DESAI <stockdesai@gmail.com> Jul 09 10:27AM +0530  

      Asian Paints said before market hours today that Mumbai high court has
      approved the composite scheme for merger and demerger which envisages
      merger of PPG Coatings India (subsidiary of PPG in ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:27PM +0530  

      Cement Sector Report for the week (09 - 13.07.2012)
       
      Stocks of leading cement companies are seen gaining in the next five
      sessions on expectations of strong earnings in Apr-Jun. Most cement makers ...more
      RAJESH DESAI <stockdesai@gmail.com> Jul 09 10:06AM +0530  

      *Dear Sir/Madam*,****
       
      ** **
       
      *TTK Prestige announced its Q1 FY13 results on 08 July 2012. The company's
      Net Sales increased by 30% YOY to INR303 crore and EBITDA increased by 29% ...more
      Deepak Vaishnav <dip.research@gmail.com> Jul 08 04:41PM +0530  

      Thanx in Adv
      ...more
      Amit shah <imamitshah@gmail.com> Jul 09 10:43AM +0530  

      Deepakji hope this helps you.
       
      ...more
      pawankumarkothari@gmail.com Jul 08 02:08PM  

      Sent from BlackBerry® on Airtel
       
      -----Original Message-----
      From: Deepak Vaishnav <dip.research@gmail.com>
      Sender: globalspeculators@googlegroups.com
      Date: Sun, 8 Jul 2012 16:41:32 ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 12:34PM +0530  

      Steel Sector Report for the week (09 - 13.07.2012)
       
      Stocks of steel companies are likely to fall next week as local and global
      demand for the metal is weak. Although demand for steel grew at a ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:23PM +0530  

      Oil Sector Report for the week (09 - 13.07.2012)
       
      Stocks of the state-owned oil-marketing companies are expected to remain
      range-bound next week amid uncertainty over crude prices and volatile ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:28PM +0530  

      IT Sector Report for the week (09 - 13.07.2012)
       
      Stocks of information technology companies are likely to be subdued for
      most part of next week as investors will turn cautious before announcement ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:24PM +0530  

      Bank Sector Report for the week (09 - 13.07.2012)
       
      Stocks of most banks are seen lower in the coming week as investors book
      profits to take advantage of the rise in stock prices over the last few ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 01:29PM +0530  

      Indian Markets Outlook for the week (09 - 13.07.2012)
       
      Key indices are likely to move in a thin band early next week as investors
      will stay on the sidelines before the Apr-Jun earnings of Infosys ...more
      ccapital india <ccapital25@gmail.com> Jul 08 10:42PM -0700  

      Today On monday the Indian market opens for trade on a weak note. In
      starting Sensex was trading at 17425...Buy Nifty at 5300, Stop loss -
      5280
      ...more
      rupeedesk <rupeedesk@gmail.com> Jul 09 12:32PM +0530  

      FMCG Sector Report for the week (09 - 13.07.2012)
       
      Stocks of fast moving consumer goods companies are expected to move in a
      narrow range with a negative bias next week, as sluggishness in the ...more
      RAJESH DESAI <stockdesai@gmail.com> Jul 09 10:19AM +0530  

      *INFRASTRUCTURE***
       
       
       
      *NTPC hopes to get 3 de-allocated mines this month*
       
      · NTPC has expressed hope of getting three out of its five
      de-allocated mines from the government this month. ...more
      RAJESH DESAI <stockdesai@gmail.com> Jul 08 06:30PM +0530  

      --
      CA. Rajesh Desai
      ...more
      Kameshwara Rao <kameshwararaos@gmail.com> Jul 08 02:10PM +0530  

      ...more

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