MODEL PORTFOLIO

Sl. No Category Stocks Industry/Sector Accumulation Level Range Target
1 Long Term Portfolio SKF INDIA LTD INDUSTRIAL GOODS 1600-1650 2300-2400
2 F&O Trading Recommendation RBL BANK LTD BANKS 550-570 695/750
3 Long Term Portfolio RADICO KHAITAN LTD BREWERIES & DISTILLERIES 370-400 500/600
4 Long Term Portfolio RELIANCE NIPPON LIFE ASSET MANAGEMENT CO 220-240 320/350
5 Long Term Portfolio MOTILAL OSWAL FIN SERVICES LTD FINANCE 840-870 1100/1200
6 Long Term Portfolio MARICO LTD PERSONAL PRODUCTS 320-340 390/420
7 Long Term Portfolio KOLTE-PATIL DEVELOPERS LTD REALTY 260-290 530/600
8 Long Term Portfolio BLUE STAR LTD CONSUMER ELECTRONICS 680-700 1100/1270
9 Long Term Portfolio BIRLA CORPORATION LTD CEMENT & CEMENT PRODUCTS 720-750 900/1060
10 Long Term Portfolio ASHOKA BUILDCON LTD ROADS & HIGHWAYS 140-160 230/300

Prices reviewed periodically
Last updated on Aug 03, 2018


Disclaimer: The views expressed / recommendations made in this report are based on fundamental as well as Technical Analysis techniques and could be at variance with the company’s / group's views based on fundamental research. The report and information contained herein is strictly confidential and meant solely for the selected recipient and may not be altered in any way, transmitted to, copied or distributed, in part or in whole, to any other person or to the media or reproduced in any form, without prior written consent. The securities discussed and opinions expressed in this report may not be suitable for all investors, who must make their own investment decisions, based on their own investment objectives, financial positions and needs of specific recipient. The recipient should take this into account before interpreting the document. This report has been prepared on the basis of information that is already available in publicly accessible media or developed through analysis of MEHTA EQUITIES LTD.