2Mbrokers/2M Securities/prof. Venkatesh — Stock tips not accurate given by Prof. Venkatesh

 
46 Reviews
 lakshmi gowda
Seeing that performance people are rushing to him, and on T V also, he talk about others negatively, as if he is the only person very accurate, pple are laughing at him, as a professior he has to maintain good reputation, there is no decency and decoram while talking, he shud talk only about his profession, i dono y he is sooooo much bothered about other tip providers, he is taking revenge on that another stupid Rudramurthy, y these media is allowing them to talk all such kind of new sense, even the media wl loose their reputation encouraging such kind of pple to talk, they are allowed only to talk about their company perforance and tips, no other business, hv u seen Mr. Krishna Roa who speak at 7.30 on janasri TV, such a nice genetle men, the way of his stratergies are also good, and also he is a senior person. whether his tips are positive are not but a positive person. at least seeing others these stupid person venkatesh and rudramurthy correct them selves. and also i request media shud not allow such kind of loose talks.
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Today he sends a call at 9.54am[protected] Speculator call: Buy ICICIBANK fo around 1178-80 stoploss 1176 target[protected] if stop loss happens reverse trade and cover loss. Later at 10.06am he sends another message Alert:- ICICI Bank Fo buy loss covered in sell which gave Rs.4 downside. Call closed. My friend who is well experienced in markets told any one in markets (Except people like me who are new and fell to his 90% accuracy and daily 2% bogus profits and Daily bogus performance reports) can read the above messages again and understand he says buy ICICI BANK first and after stophits 4rs we reverse and day low he feels we will sell exactly and his cost to cost exit bogus report. Then take any call and say 4rs stop loss below price and say reverse if stophit and again exit cost to cost. This joke can be put even in twinkle comic. When I called his office staff and asked they say we should follow rules and we are wrong. I request 2m brokers to answer my queries here in front of public and show me where I am wrong or refund my money and losses for lies told in TV.
Hello friends,

My name is Ramesh. I am very new to share market and I would like to start day trading, can any one suggest me the good advisor for me.

Regards,
ramesh give me a call at [protected]
Please dont follow any tips providers. Please dont become victim of any tips providers. I ahve subscribed 2M securities after watching his TV performance.
Practically it is impossible to enter or exit in the levels he mentioned in his calls. All are fake calls.. he will give more than 10 calls without any accuracy. If you want to make money, go against his calls . you make more money ;-) If he say BUY, then u sell .
Here is the calls provided. i have captured some msgs
Securities (I) P Ltd: Buy MARUTI EQ/FO Around[protected] Stoploss 1525 Target[protected] in Intraday.cmp= EQ-1540.90, FO-1542
2M Securities (I) P Ltd: Future Alert:- SBIN Fo book 50% Profit around[protected] and revise stoploss to 1915 (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Buy LT EQ/FO Around[protected] Stoploss 1421 Target[protected] in Intraday.cmp= EQ-1430, FO-1432
2M Securities (I) P Ltd: Buy NIFTY Future Around[protected] Stoploss 5848 Target[protected] in Intraday.cmp= 5873
2M Securities (I) P Ltd: Stock Alert:- L&T E/Fo book 50% Profit around[protected] and revise stoploss to 1429 (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Pre- Market call Alert:- L&T Fut exit at cost and close the call.
2M Securities (I) P Ltd: Stock Alert:- LT EQ/FO 1st Target Done of 1440 and now use revise stoploss of 1429. (Profit Rs 10/Share & Rs 2500/Lot)
2M Securities (I) P Ltd: Info:- Market is witnessing very low movement from morning.. Nifty fut High 5887 - Low 5862 = 25 Points.. volatile market is better for trader.
2M Securities (I) P Ltd: Stock Alert:- Maruti Eq/Fo book 50% Profit around[protected] and revise stoploss to 1538 (Profit Rs.8/Share & 2000/Lot)
2M Securities (I) P Ltd: INFY Results Strategy:- Buy Now INFY 2650CE around 84-86 and Later we will buy 2400PE(Before 3:30pm)
2M Securities (I) P Ltd: Buy same lots of INFY 2400PE around 85-87 and hold 50% profit and 25% stoploss on combined investment amount.
2M Securities (I) P Ltd: Nifty Alert:- Nifty Book 50% profit around[protected] and revise stoploss to 5865 (Profit Rs.750/Lot)
2M Securities (I) P Ltd: Buy Banknifty 11500CE around 260-265 Stoploss 240 Target 300-340 CMP=269
2M Securities (I) P Ltd: Option Alert:- Banknifty 11500CE stoploss triggerd at 240 exit and close the call (Loss rs.500/Lot)
2M Securities (I) P Ltd: Pre-Market Call Alert:- Nifty Sell at 5856 achived its 1st target 4832 (Profit Rs.1200/Lot)
2M Securities (I) P Ltd: Pre-Market Call Alert:- L&T Sell below 1423 achived its 1st target 1415 (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Option Alert:- INFY 2650CE LTP 91 (Boght at 85).. INFY 2400PE LTP 99 (Bought 86).. Profit by Hedging.
2M Securities (I) P Ltd: Positional:- Buy same lots of Reliance 840PE at 18.5 and 840CE at 11.5.. Profit 30% and stoploss 20% on Total investment..
2M Securities (I) P Ltd: Correction. Positional:- Buy same lots of Reliance 840PE at 16.5 and 880CE at 13.. Profit 30% and stoploss 20% on Total investment..
2M Securities (I) P Ltd: Final Alert:- Carry INFY 2650CE&2400PE, Reliance 840PE&880CE as BTST.
2M Securities (I) P Ltd: 2M 10th July Call Performances:
1. L&T Buy (Profit Rs.10/Share & 2500/Lot)
2. L&T Sell (Profit Rs.8/Share & 2000/Lot)
3. Maruti (Profit Rs.8/Share & 2000/Lot)
4. SBIN (Profit Rs.15/Share & 1875/Lot)
5. Nifty sell (Profit Rs.1200/Lot)
6. Nifty buy (Profit Rs.750/Lot)
7. Banknifty 11500CE (Loss Rs.500/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Pr-Market Analysis:-
Tatasteel Futures
Buy above 252 TARGET 256, 261 STOPLOSS 246.5
SBIN Futures
Buy above 1914 TARGET 1934, 1960 STOPLOSS 1871
ICICIBank Futures
Buy above 1048 TARGET 1059, 1074 STOPLOSS 1035
2M Securities (I) P Ltd: Pre-Market Call Alert:- SBIN Fo book 50% Profit around[protected] and rest hold with stoploss of 1914.
2M Securities (I) P Ltd: BTST Option Alert:- Book 50% Profit in INFY 2650CE around 109 & 2400PE around 93 Buy Cost 85+86=171, , Now 109+93=202. (Profit Rs.3875/Lot)
2M Securities (I) P Ltd: Pre-Market Ananlysis Alert:- ICICIbank done its 2nd Target of 1074 and Tatasteel 1st Target of 256.
2M Securities (I) P Ltd: Buy NIFTY 5900PE around 67-69 Target 82-98 in intraday CMP=71
2M Securities (I) P Ltd: Correction, Buy NIFTY 5900PE around 67-69 Target 82-98 Stoploss 55. in intraday CMP=71
2M Securities (I) P Ltd: Sell NIFTY Future Around[protected] Stoploss 5967 target[protected] in Intraday. cmp= 5940
2M Securities (I) P Ltd: Positional:- Buy Tatasteel 360CE only around 5-6 Stoploss 3 Target 8-11 by tomorrow.
2M Securities (I) P Ltd: Correction, Positional:- Buy Tatasteel 260CE only around 5-6 Stoploss 3 Target 8-11 by tomorrow.
2M Securities (I) P Ltd: Sell TCS EQ/FO Around[protected] Stoploss 1550 Target[protected] in Intraday. cmp= EQ-1540, FO-1539.55
2M Securities (I) P Ltd: Since we are expecting some dip in market, , Tatasteel 260CE buy at lower levels.
2M Securities (I) P Ltd: Pre-Market Analysis Alert:- SBIN Fut 1st Target done of 1935 now use revise stoploss of 1914 (Profit Rs.21/Share & 2625/Lot)
2M Securities (I) P Ltd: Positional:- Buy SAIL 50CE around 1.4-1.6 Stoploss 1 Target 2.5-4
2M Securities (I) P Ltd: Option Alert:- Tatasteel 260CE almost done its 1st Target of 8 book 50% Profit around (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Nifty Alert:- NIFTY Future Exit around[protected] and close the call CMP=5954
2M Securities (I) P Ltd: INfo:- TCS EQ/Fo do not make Stoploss, Instead buy TCS 1560CE around 50-52 hold the combination we will inform later.
2M Securities (I) P Ltd: TCS Alert:- TCS Eq/Fo exit around[protected] and close the call (Loss Rs.750/Lot)
2M Securities (I) P Ltd: Buy Maruti 1600CE around 18-20 Stoploss 12 Target 28-36
2M Securities (I) P Ltd: Option Alert:- Exit Nifty 5900PE around 70-72 and close the call.
2M Securities (I) P Ltd: TCS Alert:- TCS Eq/Fo exited around[protected]Loss Rs.750/Lot) Now exit TCS 1560CE at cost and close the call.
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE call not initiated.
2M Securities (I) P Ltd: Info:- Nifty Futures Crucial Support Level 5935 Below 5905..
2M Securities (I) P Ltd: If some one would like to Buy nifty future. buy around[protected] Stoploss 5935.
2M Securities (I) P Ltd: BTST INFY Alert:- See this 50% profit(In a Day). INFY 2650CE up by 40% and 2400PE by 10% from yesterday.
2M Securities (I) P Ltd: BTST Option Alert:- INFY 2650CE and 24000PE gave all 50% Profit on investment today (Profit Rs.10000/Lot)
2M Securities (I) P Ltd: Positional:- Buy HDFCBank around 682-684 Stoploss 655 Target 710-745
2M Securities (I) P Ltd: Nifty Alert:- If someone bought Nifty at 5938 book 50% profit around 5955 and revise stoploss to 5938 (Profit Rs.900/Lot)
2M Securities (I) P Ltd: BTST Call:- Buy Small lots Maruti 1600CE at 11 Stoploss 8 Target 15-19.. Morning Maruti Eq breaks 1492 braeks then buy PE(Put option)
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE exit at 12 and close the call
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE exit at 11 and close the call
2M Securities (I) P Ltd: 2M 11th July Call Performances:
1. BTST INFY (Profit Rs.10000/Lot)
2. SBIN (Profit Rs.21/Share & 2625/Lot)
3. Tatasteel 260CE (Profit Rs.2000/Lot)
4. Nifty, Nifty 5900PE & Maruti 1600CE exit at cost
5. TCS& TCS 1560CE (Loss Rs.750/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: BTST Future Alert:- HDFCBank book 50% Profit around 687-689 and revise stoploss to 682 (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Info:- Crucial IIP data today by 11 to 11:30am.
2M Securities (I) P Ltd: BTST Option ALert:- SAIL 50CE hold on basis of 47 on Sail Eq.
2M Securities (I) P Ltd: Buy M&M 900PE around 28-30 Target 35-40 Stoploss 24 in intraday CMP=30.8
2M Securities (I) P Ltd: Option Alert:- M&M 900PE call not initiated.
2M Securities (I) P Ltd: Buy INFY 2800PE around 56-58 Target 75-88 Stoploss 45 in intraday
2M Securities (I) P Ltd: Option Alert:- INFY 2800PE book 50% Profit around 68-70 and revise stoploss to 60.
2M Securities (I) P Ltd: Note Today:- INFY today 2800 and SBIN 1900 with in a year both the companies rates will be equal..
2M Securities (I) P Ltd: Option Alert:- INFY 2800PE done its 1st Target of 75 now use revise stoploss of buy rate. (Profit Rs.1875/Lot)
2M Securities (I) P Ltd: Positional Option Alert:- Reliance 880CE at 22 and 840PE at 7.5 exit the combination at cost and close the call.
2M Securities (I) P Ltd: BTST Stock Alert:- HDFCBank book 100% Profit around 692-694 and close the call (Profit Rs.10/Share & 5000/Lot)
2M Securities (I) P Ltd: Positional Call:- Sell Nifty around 6002 and Buy Banknifty 11740 and Hold (Number of lots should be same lots)
2M Securities (I) P Ltd: Only For Positional Trader:- Maruti Eq has support at 1430 & Tatamotor resistance at 295.. Hence Buy Maruti 1460CE at 31 & Tatamotor 290PE at 7.4 (Buy same lots)
2M Securities (I) P Ltd: Sell SBIN Fo around 1887-90 target stoploss
2M Securities (I) P Ltd: Sell SBIN Fo around[protected] Stoploss 1904 Target[protected] in intraday
2M Securities (I) P Ltd: L&T Futures
Buy above 998 (T1) 1004, (T2) 1012, (T3) 1022, SL 979
2M Securities (I) P Ltd: Future Alert:- L&T Fo 1st Traget done of 1004 book 50% profit now revise stoploss to 998 (Profit Rs.5/Share & 1875/Lot)
2M Securities (I) P Ltd: BTST Option Alert:- Maruti 1460CE up by 11% & Tatamotor 280PE up by 13% book 50% Profit Maruti at 39 & Tatamotor at 5 (Profit Rs.2500/Lot)
2M Securities (I) P Ltd: Banknifty if Break 11630 then sell on rise around[protected] Stoploss 11750 Target[protected]
2M Securities (I) P Ltd: Future Alert:- SBIN Fo 1st Target done of 1875 book 50% Profit and revise SL to 1890 (Profit Rs.15/Share & 1875/Lot)
2M Securities (I) P Ltd: Buy Tatasteel 260CE around 6-7 Target 10-14 Stoploss 4 CMP=7.1
2M Securities (I) P Ltd: Buy L&T 1000PE around 22-24 Target 28-34 Stoploss 19 in intraday CMP=24.75
2M Securities (I) P Ltd: Hedge Call:- Buy Same lots of Tatasteel 250PE around 6.5 and hold along with Tatsteel 260CE we will inform later
2M Securities (I) P Ltd: Hedge Call:- Buy Same lots of Tatasteel 255PE around 6.5 and hold along with Tatsteel 260CE we will inform later
2M Securities (I) P Ltd: BTST Index alert:- Exit Banknifty buy around[protected] and hold Nifty sell, we will inform later.
2M Securities (I) P Ltd: Sell ICICIBANK FO Around[protected] stoploss 1073 target[protected] in Intraday. Cmp=1058
2M Securities (I) P Ltd: Future Alert:- M&M Fo book 50% Profit around 898-900 and revise SL to 908 (Profit Rs.1750/Lot)
2M Securities (I) P Ltd: Option Alert:- L&T 1000PE book 50% Profit only around 27-29 and revise SL to 24 (Profit Rs.1125/Lot)
2M Securities (I) P Ltd: Stock Alert:- M&M FO 2nd target done of 900 now close this call. (Profit Rs 2750/Lot)
2M Securities (I) P Ltd: Future Alert:- ICICIBank Fo exit at cost[protected] and close the call. (Profit/Loss Rs.0/Lot)
2M Securities (I) P Ltd: Buy Banknifty around[protected] Target[protected]
Stoploss 11650 CMP=11770
2M Securities (I) P Ltd: BTST Index Alert:- Nifty sell exit around[protected] and close the call (Loss Rs.1250/Lot)
2M Securities (I) P Ltd: Banknifty Alert:- Banknifty book 50% Profit around[protected] and revise stoploss to 11760.
2M Securities (I) P Ltd: Re-Enter Positional Call:- Sell Nifty around 6032 and Buy Banknifty around 11800 and Hold (Number of lots should be same lots)
2M Securities (I) P Ltd: Option Alert:- Tatasteel 255PE place exit order at 6.5 (Cost Rate), if sold exit.. or Hold 260CE & 255PE for tomorrow.
2M Securities (I) P Ltd: 2M 15th July Call Performances:
1. M&M (Profit Rs.10/Share & 2500/Lot)
2. BTST Maruti 1460CE & Tatamotor 280PE (Profit Rs.2500/Lot)
3. L&T Fut, L&T 1000PE (Profit Rs.3000/Lot)
4. SBIN (Profit Rs.15/Share & 1875/Lot)
5. Banknifty (Profit Rs.1500/Lot)
6. Tatasteel 260CE&255PE, Nifty&Banknifty carried as BTST
7. Icicibank Fo exit at cost
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Morning Call:- L&T Futures
Sell below 1001 (T1) 995, (T2) 987, (T3) 977, SL 1012
ICICIBank Futures
Sell at 1059 TARGET 1049, 1037 STOPLOSS 1075
2M Securities (I) P Ltd: Sell on rise NIFTY Future Around[protected] stoploss 5970 target[protected] in Intraday. Cmp=5920
2M Securities (I) P Ltd: Sell AXISBANK EQ/FO Around[protected] stoploss 1270(EQ) target[protected] in Intraday.
2M Securities (I) P Ltd: Buy Banknifty on dips around[protected] stoploss 11170 Target[protected] in intraday.
2M Securities (I) P Ltd: Sell LT EQ/FO Around 970-972 stoploss 985(EQ) target 955-943 in Intraday.
2M Securities (I) P Ltd: Stock Alert:- L&T Eq/Fo exit at cost and Buy L&T 973.35PE around 23-25 Stoploss 15 Target 30-38
2M Securities (I) P Ltd: Hedge Call:- Buy Maruti 1400PE at 22 & M&M 900CE on dip around 22 and Hold for 50% Profit 25% Stoploss on Investment (Buy Same Lots)
2M Securities (I) P Ltd: Stock Alert:- Active to book AXISBANK EQ/FO 50% Profit at[protected] and use revise stoploss at 1255. (Profit Rs.10/Share Rs.2500/Lot)
2M Securities (I) P Ltd: Option Alert:- Maruti 1400PE book 100% Profit around 29-31 and close the call (Profit Rs.1500/Lot)
2M Securities (I) P Ltd: Option Alert:- L&T 973.35PE Book 50% Profit around 29-31 and revise SL to 24 (Profit Rs.1875/Lot)
2M Securities (I) P Ltd: Stock Alert:- Axisbank done its 1st Target of 1235 book 75% Profit and revise stoploss to 1255 (Profit Rs.22/Share & 5500/Lot)
2M Securities (I) P Ltd: Banknifty Alert:- Banknifty went near to its 1st target of 11350, hence do not buy in second round.. If bought wait & exit above cost.
2M Securities (I) P Ltd: Option Alert:- M&M 900CE book 50% Profit at 27-29 and use revise stoploss at 22. (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Nifty Alert:- Nifty futures hold with Revise stoploss of 5988 for same target.
2M Securities (I) P Ltd: Positional Call:- ITC buy on Dips around 356-358 Stoploss 352 Target 365-372 CMP=360.
2M Securities (I) P Ltd: Info:- Positive Shares ITC, IDEA & Hexaware. Negative shares SBIN, YESbank, Kotakbank..
2M Securities (I) P Ltd: Nifty Alert:- NIFTY Future Stoploss Triggered of 5970 now close this call. (Loss Rs 1750/Lot)
2M Securities (I) P Ltd: BTST Option Alert:- Who are holding SAIL 50CE buy same lots of 47.5PE around 47.5 and hold both till it comes to profit.
2M Securities (I) P Ltd: BTST Option Alert:- Who are holding SAIL 50CE buy same lots of 47.5PE around 1.7 and hold both till it comes to profit.
2M Securities (I) P Ltd: 2M 16th July Call Performances:
1. Axisbank (Profit Rs.22/Share & 5500/Lot)
2. L&T 973.35PE (Profit Rs.1875/Lot)
3. M&M 900CE (Profit Rs.1500/Lot)
4. Maruti 1400PE (Profit Rs.1500/Lot)
5. Banknifty, L&T exit at cost
6. Nifty (Loss Rs.1750/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Info:-
FDI in Telecom Good for Rcom, Bharti, IDEA
FDI in Defence Good for L&T, M&M
FDI in Insurance good for ICICIBank, HDFCBank
2M Securities (I) P Ltd: Buy INFY FO around[protected]Target stoploss
2M Securities (I) P Ltd: Buy INFY FO around[protected] Target[protected] stoploss 2734
2M Securities (I) P Ltd: SBIN Fo
around[protected] target
2M Securities (I) P Ltd: INFY fo book 50% Profit around[protected] and revise SL to 2740
2M Securities (I) P Ltd: Sell SBIN FO around[protected] Target[protected] stoploss 1847
2M Securities (I) P Ltd: Icicibank Future Buy at 999 Target[protected] SToploss 998 and Sell below 998 TARGET 989, 972 STOPLOSS 1011
2M Securities (I) P Ltd: Sell TCS (EQ) Around[protected] Stoploss 1680 Target[protected] in Intraday. Cmp-1661
2M Securities (I) P Ltd: Sell NIFTY Future Around[protected] stoploss 6024 target[protected] in Intraday. Cmp=5982
2M Securities (I) P Ltd: Buy M&M Fo on Dips around 910-915 stoploss 908 target 933-940 in Intraday. Cmp= 917.50
2M Securities (I) P Ltd: ICICIBank future Alert:- Exit only at cost and close the call.
2M Securities (I) P Ltd: BTST Info ALert:- ITC, IDEA & Hexaware all are Up And SBIN, Yesbank & KotakBank all are down.. If someone initiated trade book Profits.
2M Securities (I) P Ltd: SBIN Fo Alert:- SBIN Fo done its 1st Target of 1819 book 50% Profit and revise stoploss to 1830 (Profit Rs.11/Share & 1375/Lot)
2M Securities (I) P Ltd: Buy MARUTI 1440PE only Around 40-42 stoploss 30 target 55-60 in Intraday. Cmp=42
2M Securities (I) P Ltd: BTST ITC Alert:- ITC done its 1st Target of 365 book 50% Profit and revise stoploss to 360 (Profit Rs.5/Share & 5000/Lot)
2M Securities (I) P Ltd: Option Alert:- MARUTI 1440PE Book 50% Profit at 48-50 and use revise stoploss at 42. (Profit Rs.1500/Lot)
2M Securities (I) P Ltd: Positional:- Buy Axisbank 1160PE around 14-16 Stoploss 10 Target 25-40
2M Securities (I) P Ltd: Info:- Positional call will have less accuracy than Intraday, Only Positional player preferred to entered in for Greater Profits, , Some time it will take little long time..
2M Securities (I) P Ltd: Positional Option Alert:- If Tatasteel 255PE reaches to 11 cover your 255PE and 260CE (11+2.2=13.2) i.e at cost rate and close the call.
2M Securities (I) P Ltd: Future Alert:- M&M Call not initiated, hence avoid the trade.
2M Securities (I) P Ltd: INFY Fo Alert:- INFY Fo done its 1st Target of 2760 book 75% Profit and revise stoploss to 2745 (Profit Rs.15/Share & 1875/Lot)
2M Securities (I) P Ltd: Average your TCS Eq, sell at 1684 Stoploss 1685 Target[protected]
2M Securities (I) P Ltd: Nifty Alert:- Nifty Fut exit around[protected] and close the call (Cost Rate) CMP=5985
2M Securities (I) P Ltd: TCS Eq Alert:- TCS Eq Sell average is 1664+1684=3348/2=1674, When it comes to near to that level exit and close the call. CMP=1679
2M Securities (I) P Ltd: Option Alert:- Intraday Players if Bought Axisbank 1160PE book 50% Profit around 17-19 and revise SL to 14.
2M Securities (I) P Ltd: Option Alert:- If some one wishes to hold Tatasteel 260CE & 255PE, You can hold till this weekend for Good profit.
2M Securities (I) P Ltd: Positional:- Buy M&M 880PE around 19-21 stoploss 15 target 28-35
2M Securities (I) P Ltd: Positional:- Buy ICICIbank 980PE around 19-21 stoploss 15 target 28-35
2M Securities (I) P Ltd: Option Alert:- M&M 880PE book 50% Profit around 25-27 and revise Stoploss to 21. (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Future Alert:- SBIN Fo book 75% Profit around 1802 and revise stoploss to 1830 (Profit Rs.28/Share & 3500/Lot)
2M Securities (I) P Ltd: Option Alert:- ICICIBank 980PE book 50% Profit around 24-26 and revise Stoploss to 21. (Profit Rs.1000/Lot)
2M Securities (I) P Ltd: Info:- If Banknifty Future breaks 10880 then buy Put option on rise for 100% profit on Investment.
2M Securities (I) P Ltd: Investor Info:- Hindunilever & ITC Looks Positive & Entire Banks looks negative for some more time..
2M Securities (I) P Ltd: Option Alert:- Banknifty Put option do not initiate in lower levels.. Wait for bounce
2M Securities (I) P Ltd: Dear valued customer, Your subscription is completed. kindly renew your package to continue our service. 2M Securities (I) P Ltd. Call [protected] / [protected]
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HI,

Please dont subscribe any tips provider . I have subscribed Junk Venkatesh of 2M securities after seeing his call perfromance on Janshree tV. I came to know the truth on the first day. All calls doesnt have any accuracy
All calls arre fake and he wil give more than 10 calls sometimes 20
Practically we can not enter or exit the calls as per his msg .
You will go crazy after seeing his msgs
Please ssave yr money.. Pleae plase . here is the proof of calls


Securities (I) P Ltd: Buy MARUTI EQ/FO Around[protected] Stoploss 1525 Target[protected] in Intraday.cmp= EQ-1540.90, FO-1542
2M Securities (I) P Ltd: Future Alert:- SBIN Fo book 50% Profit around[protected] and revise stoploss to 1915 (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Buy LT EQ/FO Around[protected] Stoploss 1421 Target[protected] in Intraday.cmp= EQ-1430, FO-1432
2M Securities (I) P Ltd: Buy NIFTY Future Around[protected] Stoploss 5848 Target[protected] in Intraday.cmp= 5873
2M Securities (I) P Ltd: Stock Alert:- L&T E/Fo book 50% Profit around[protected] and revise stoploss to 1429 (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Pre- Market call Alert:- L&T Fut exit at cost and close the call.
2M Securities (I) P Ltd: Stock Alert:- LT EQ/FO 1st Target Done of 1440 and now use revise stoploss of 1429. (Profit Rs 10/Share & Rs 2500/Lot)
2M Securities (I) P Ltd: Info:- Market is witnessing very low movement from morning.. Nifty fut High 5887 - Low 5862 = 25 Points.. volatile market is better for trader.
2M Securities (I) P Ltd: Stock Alert:- Maruti Eq/Fo book 50% Profit around[protected] and revise stoploss to 1538 (Profit Rs.8/Share & 2000/Lot)
2M Securities (I) P Ltd: INFY Results Strategy:- Buy Now INFY 2650CE around 84-86 and Later we will buy 2400PE(Before 3:30pm)
2M Securities (I) P Ltd: Buy same lots of INFY 2400PE around 85-87 and hold 50% profit and 25% stoploss on combined investment amount.
2M Securities (I) P Ltd: Nifty Alert:- Nifty Book 50% profit around[protected] and revise stoploss to 5865 (Profit Rs.750/Lot)
2M Securities (I) P Ltd: Buy Banknifty 11500CE around 260-265 Stoploss 240 Target 300-340 CMP=269
2M Securities (I) P Ltd: Option Alert:- Banknifty 11500CE stoploss triggerd at 240 exit and close the call (Loss rs.500/Lot)
2M Securities (I) P Ltd: Pre-Market Call Alert:- Nifty Sell at 5856 achived its 1st target 4832 (Profit Rs.1200/Lot)
2M Securities (I) P Ltd: Pre-Market Call Alert:- L&T Sell below 1423 achived its 1st target 1415 (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Option Alert:- INFY 2650CE LTP 91 (Boght at 85).. INFY 2400PE LTP 99 (Bought 86).. Profit by Hedging.
2M Securities (I) P Ltd: Positional:- Buy same lots of Reliance 840PE at 18.5 and 840CE at 11.5.. Profit 30% and stoploss 20% on Total investment..
2M Securities (I) P Ltd: Correction. Positional:- Buy same lots of Reliance 840PE at 16.5 and 880CE at 13.. Profit 30% and stoploss 20% on Total investment..
2M Securities (I) P Ltd: Final Alert:- Carry INFY 2650CE&2400PE, Reliance 840PE&880CE as BTST.
2M Securities (I) P Ltd: 2M 10th July Call Performances:
1. L&T Buy (Profit Rs.10/Share & 2500/Lot)
2. L&T Sell (Profit Rs.8/Share & 2000/Lot)
3. Maruti (Profit Rs.8/Share & 2000/Lot)
4. SBIN (Profit Rs.15/Share & 1875/Lot)
5. Nifty sell (Profit Rs.1200/Lot)
6. Nifty buy (Profit Rs.750/Lot)
7. Banknifty 11500CE (Loss Rs.500/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Pr-Market Analysis:-
Tatasteel Futures
Buy above 252 TARGET 256, 261 STOPLOSS 246.5
SBIN Futures
Buy above 1914 TARGET 1934, 1960 STOPLOSS 1871
ICICIBank Futures
Buy above 1048 TARGET 1059, 1074 STOPLOSS 1035
2M Securities (I) P Ltd: Pre-Market Call Alert:- SBIN Fo book 50% Profit around[protected] and rest hold with stoploss of 1914.
2M Securities (I) P Ltd: BTST Option Alert:- Book 50% Profit in INFY 2650CE around 109 & 2400PE around 93 Buy Cost 85+86=171, , Now 109+93=202. (Profit Rs.3875/Lot)
2M Securities (I) P Ltd: Pre-Market Ananlysis Alert:- ICICIbank done its 2nd Target of 1074 and Tatasteel 1st Target of 256.
2M Securities (I) P Ltd: Buy NIFTY 5900PE around 67-69 Target 82-98 in intraday CMP=71
2M Securities (I) P Ltd: Correction, Buy NIFTY 5900PE around 67-69 Target 82-98 Stoploss 55. in intraday CMP=71
2M Securities (I) P Ltd: Sell NIFTY Future Around[protected] Stoploss 5967 target[protected] in Intraday. cmp= 5940
2M Securities (I) P Ltd: Positional:- Buy Tatasteel 360CE only around 5-6 Stoploss 3 Target 8-11 by tomorrow.
2M Securities (I) P Ltd: Correction, Positional:- Buy Tatasteel 260CE only around 5-6 Stoploss 3 Target 8-11 by tomorrow.
2M Securities (I) P Ltd: Sell TCS EQ/FO Around[protected] Stoploss 1550 Target[protected] in Intraday. cmp= EQ-1540, FO-1539.55
2M Securities (I) P Ltd: Since we are expecting some dip in market, , Tatasteel 260CE buy at lower levels.
2M Securities (I) P Ltd: Pre-Market Analysis Alert:- SBIN Fut 1st Target done of 1935 now use revise stoploss of 1914 (Profit Rs.21/Share & 2625/Lot)
2M Securities (I) P Ltd: Positional:- Buy SAIL 50CE around 1.4-1.6 Stoploss 1 Target 2.5-4
2M Securities (I) P Ltd: Option Alert:- Tatasteel 260CE almost done its 1st Target of 8 book 50% Profit around (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Nifty Alert:- NIFTY Future Exit around[protected] and close the call CMP=5954
2M Securities (I) P Ltd: INfo:- TCS EQ/Fo do not make Stoploss, Instead buy TCS 1560CE around 50-52 hold the combination we will inform later.
2M Securities (I) P Ltd: TCS Alert:- TCS Eq/Fo exit around[protected] and close the call (Loss Rs.750/Lot)
2M Securities (I) P Ltd: Buy Maruti 1600CE around 18-20 Stoploss 12 Target 28-36
2M Securities (I) P Ltd: Option Alert:- Exit Nifty 5900PE around 70-72 and close the call.
2M Securities (I) P Ltd: TCS Alert:- TCS Eq/Fo exited around[protected]Loss Rs.750/Lot) Now exit TCS 1560CE at cost and close the call.
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE call not initiated.
2M Securities (I) P Ltd: Info:- Nifty Futures Crucial Support Level 5935 Below 5905..
2M Securities (I) P Ltd: If some one would like to Buy nifty future. buy around[protected] Stoploss 5935.
2M Securities (I) P Ltd: BTST INFY Alert:- See this 50% profit(In a Day). INFY 2650CE up by 40% and 2400PE by 10% from yesterday.
2M Securities (I) P Ltd: BTST Option Alert:- INFY 2650CE and 24000PE gave all 50% Profit on investment today (Profit Rs.10000/Lot)
2M Securities (I) P Ltd: Positional:- Buy HDFCBank around 682-684 Stoploss 655 Target 710-745
2M Securities (I) P Ltd: Nifty Alert:- If someone bought Nifty at 5938 book 50% profit around 5955 and revise stoploss to 5938 (Profit Rs.900/Lot)
2M Securities (I) P Ltd: BTST Call:- Buy Small lots Maruti 1600CE at 11 Stoploss 8 Target 15-19.. Morning Maruti Eq breaks 1492 braeks then buy PE(Put option)
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE exit at 12 and close the call
2M Securities (I) P Ltd: Option Alert:- Maruti 1600CE exit at 11 and close the call
2M Securities (I) P Ltd: 2M 11th July Call Performances:
1. BTST INFY (Profit Rs.10000/Lot)
2. SBIN (Profit Rs.21/Share & 2625/Lot)
3. Tatasteel 260CE (Profit Rs.2000/Lot)
4. Nifty, Nifty 5900PE & Maruti 1600CE exit at cost
5. TCS& TCS 1560CE (Loss Rs.750/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: BTST Future Alert:- HDFCBank book 50% Profit around 687-689 and revise stoploss to 682 (Profit Rs.2000/Lot)
2M Securities (I) P Ltd: Info:- Crucial IIP data today by 11 to 11:30am.
2M Securities (I) P Ltd: BTST Option ALert:- SAIL 50CE hold on basis of 47 on Sail Eq.
2M Securities (I) P Ltd: Buy M&M 900PE around 28-30 Target 35-40 Stoploss 24 in intraday CMP=30.8
2M Securities (I) P Ltd: Option Alert:- M&M 900PE call not initiated.
2M Securities (I) P Ltd: Buy INFY 2800PE around 56-58 Target 75-88 Stoploss 45 in intraday
2M Securities (I) P Ltd: Option Alert:- INFY 2800PE book 50% Profit around 68-70 and revise stoploss to 60.
2M Securities (I) P Ltd: Note Today:- INFY today 2800 and SBIN 1900 with in a year both the companies rates will be equal..
2M Securities (I) P Ltd: Option Alert:- INFY 2800PE done its 1st Target of 75 now use revise stoploss of buy rate. (Profit Rs.1875/Lot)
2M Securities (I) P Ltd: Positional Option Alert:- Reliance 880CE at 22 and 840PE at 7.5 exit the combination at cost and close the call.
2M Securities (I) P Ltd: BTST Stock Alert:- HDFCBank book 100% Profit around 692-694 and close the call (Profit Rs.10/Share & 5000/Lot)
2M Securities (I) P Ltd: Positional Call:- Sell Nifty around 6002 and Buy Banknifty 11740 and Hold (Number of lots should be same lots)
2M Securities (I) P Ltd: Only For Positional Trader:- Maruti Eq has support at 1430 & Tatamotor resistance at 295.. Hence Buy Maruti 1460CE at 31 & Tatamotor 290PE at 7.4 (Buy same lots)
2M Securities (I) P Ltd: Sell SBIN Fo around 1887-90 target stoploss
2M Securities (I) P Ltd: Sell SBIN Fo around[protected] Stoploss 1904 Target[protected] in intraday
2M Securities (I) P Ltd: L&T Futures
Buy above 998 (T1) 1004, (T2) 1012, (T3) 1022, SL 979
2M Securities (I) P Ltd: Future Alert:- L&T Fo 1st Traget done of 1004 book 50% profit now revise stoploss to 998 (Profit Rs.5/Share & 1875/Lot)
2M Securities (I) P Ltd: BTST Option Alert:- Maruti 1460CE up by 11% & Tatamotor 280PE up by 13% book 50% Profit Maruti at 39 & Tatamotor at 5 (Profit Rs.2500/Lot)
2M Securities (I) P Ltd: Banknifty if Break 11630 then sell on rise around[protected] Stoploss 11750 Target[protected]
2M Securities (I) P Ltd: Future Alert:- SBIN Fo 1st Target done of 1875 book 50% Profit and revise SL to 1890 (Profit Rs.15/Share & 1875/Lot)
2M Securities (I) P Ltd: Buy Tatasteel 260CE around 6-7 Target 10-14 Stoploss 4 CMP=7.1
2M Securities (I) P Ltd: Buy L&T 1000PE around 22-24 Target 28-34 Stoploss 19 in intraday CMP=24.75
2M Securities (I) P Ltd: Hedge Call:- Buy Same lots of Tatasteel 250PE around 6.5 and hold along with Tatsteel 260CE we will inform later
2M Securities (I) P Ltd: Hedge Call:- Buy Same lots of Tatasteel 255PE around 6.5 and hold along with Tatsteel 260CE we will inform later
2M Securities (I) P Ltd: BTST Index alert:- Exit Banknifty buy around[protected] and hold Nifty sell, we will inform later.
2M Securities (I) P Ltd: Sell ICICIBANK FO Around[protected] stoploss 1073 target[protected] in Intraday. Cmp=1058
2M Securities (I) P Ltd: Future Alert:- M&M Fo book 50% Profit around 898-900 and revise SL to 908 (Profit Rs.1750/Lot)
2M Securities (I) P Ltd: Option Alert:- L&T 1000PE book 50% Profit only around 27-29 and revise SL to 24 (Profit Rs.1125/Lot)
2M Securities (I) P Ltd: Stock Alert:- M&M FO 2nd target done of 900 now close this call. (Profit Rs 2750/Lot)
2M Securities (I) P Ltd: Future Alert:- ICICIBank Fo exit at cost[protected] and close the call. (Profit/Loss Rs.0/Lot)
2M Securities (I) P Ltd: Buy Banknifty around[protected] Target[protected]
Stoploss 11650 CMP=11770
2M Securities (I) P Ltd: BTST Index Alert:- Nifty sell exit around[protected] and close the call (Loss Rs.1250/Lot)
2M Securities (I) P Ltd: Banknifty Alert:- Banknifty book 50% Profit around[protected] and revise stoploss to 11760.
2M Securities (I) P Ltd: Re-Enter Positional Call:- Sell Nifty around 6032 and Buy Banknifty around 11800 and Hold (Number of lots should be same lots)
2M Securities (I) P Ltd: Option Alert:- Tatasteel 255PE place exit order at 6.5 (Cost Rate), if sold exit.. or Hold 260CE & 255PE for tomorrow.
2M Securities (I) P Ltd: 2M 15th July Call Performances:
1. M&M (Profit Rs.10/Share & 2500/Lot)
2. BTST Maruti 1460CE & Tatamotor 280PE (Profit Rs.2500/Lot)
3. L&T Fut, L&T 1000PE (Profit Rs.3000/Lot)
4. SBIN (Profit Rs.15/Share & 1875/Lot)
5. Banknifty (Profit Rs.1500/Lot)
6. Tatasteel 260CE&255PE, Nifty&Banknifty carried as BTST
7. Icicibank Fo exit at cost
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Morning Call:- L&T Futures
Sell below 1001 (T1) 995, (T2) 987, (T3) 977, SL 1012
ICICIBank Futures
Sell at 1059 TARGET 1049, 1037 STOPLOSS 1075
2M Securities (I) P Ltd: Sell on rise NIFTY Future Around[protected] stoploss 5970 target[protected] in Intraday. Cmp=5920
2M Securities (I) P Ltd: Sell AXISBANK EQ/FO Around[protected] stoploss 1270(EQ) target[protected] in Intraday.
2M Securities (I) P Ltd: Buy Banknifty on dips around[protected] stoploss 11170 Target[protected] in intraday.
2M Securities (I) P Ltd: Sell LT EQ/FO Around 970-972 stoploss 985(EQ) target 955-943 in Intraday.
2M Securities (I) P Ltd: Stock Alert:- L&T Eq/Fo exit at cost and Buy L&T 973.35PE around 23-25 Stoploss 15 Target 30-38
2M Securities (I) P Ltd: Hedge Call:- Buy Maruti 1400PE at 22 & M&M 900CE on dip around 22 and Hold for 50% Profit 25% Stoploss on Investment (Buy Same Lots)
2M Securities (I) P Ltd: Stock Alert:- Active to book AXISBANK EQ/FO 50% Profit at[protected] and use revise stoploss at 1255. (Profit Rs.10/Share Rs.2500/Lot)
2M Securities (I) P Ltd: Option Alert:- Maruti 1400PE book 100% Profit around 29-31 and close the call (Profit Rs.1500/Lot)
2M Securities (I) P Ltd: Option Alert:- L&T 973.35PE Book 50% Profit around 29-31 and revise SL to 24 (Profit Rs.1875/Lot)
2M Securities (I) P Ltd: Stock Alert:- Axisbank done its 1st Target of 1235 book 75% Profit and revise stoploss to 1255 (Profit Rs.22/Share & 5500/Lot)
2M Securities (I) P Ltd: Banknifty Alert:- Banknifty went near to its 1st target of 11350, hence do not buy in second round.. If bought wait & exit above cost.
2M Securities (I) P Ltd: Option Alert:- M&M 900CE book 50% Profit at 27-29 and use revise stoploss at 22. (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Nifty Alert:- Nifty futures hold with Revise stoploss of 5988 for same target.
2M Securities (I) P Ltd: Positional Call:- ITC buy on Dips around 356-358 Stoploss 352 Target 365-372 CMP=360.
2M Securities (I) P Ltd: Info:- Positive Shares ITC, IDEA & Hexaware. Negative shares SBIN, YESbank, Kotakbank..
2M Securities (I) P Ltd: Nifty Alert:- NIFTY Future Stoploss Triggered of 5970 now close this call. (Loss Rs 1750/Lot)
2M Securities (I) P Ltd: BTST Option Alert:- Who are holding SAIL 50CE buy same lots of 47.5PE around 47.5 and hold both till it comes to profit.
2M Securities (I) P Ltd: BTST Option Alert:- Who are holding SAIL 50CE buy same lots of 47.5PE around 1.7 and hold both till it comes to profit.
2M Securities (I) P Ltd: 2M 16th July Call Performances:
1. Axisbank (Profit Rs.22/Share & 5500/Lot)
2. L&T 973.35PE (Profit Rs.1875/Lot)
3. M&M 900CE (Profit Rs.1500/Lot)
4. Maruti 1400PE (Profit Rs.1500/Lot)
5. Banknifty, L&T exit at cost
6. Nifty (Loss Rs.1750/Lot)
From 2M securities (i)pvt ltd.. Call +[protected] or +[protected]
2M Securities (I) P Ltd: Info:-
FDI in Telecom Good for Rcom, Bharti, IDEA
FDI in Defence Good for L&T, M&M
FDI in Insurance good for ICICIBank, HDFCBank
2M Securities (I) P Ltd: Buy INFY FO around[protected]Target stoploss
2M Securities (I) P Ltd: Buy INFY FO around[protected] Target[protected] stoploss 2734
2M Securities (I) P Ltd: SBIN Fo
around[protected] target
2M Securities (I) P Ltd: INFY fo book 50% Profit around[protected] and revise SL to 2740
2M Securities (I) P Ltd: Sell SBIN FO around[protected] Target[protected] stoploss 1847
2M Securities (I) P Ltd: Icicibank Future Buy at 999 Target[protected] SToploss 998 and Sell below 998 TARGET 989, 972 STOPLOSS 1011
2M Securities (I) P Ltd: Sell TCS (EQ) Around[protected] Stoploss 1680 Target[protected] in Intraday. Cmp-1661
2M Securities (I) P Ltd: Sell NIFTY Future Around[protected] stoploss 6024 target[protected] in Intraday. Cmp=5982
2M Securities (I) P Ltd: Buy M&M Fo on Dips around 910-915 stoploss 908 target 933-940 in Intraday. Cmp= 917.50
2M Securities (I) P Ltd: ICICIBank future Alert:- Exit only at cost and close the call.
2M Securities (I) P Ltd: BTST Info ALert:- ITC, IDEA & Hexaware all are Up And SBIN, Yesbank & KotakBank all are down.. If someone initiated trade book Profits.
2M Securities (I) P Ltd: SBIN Fo Alert:- SBIN Fo done its 1st Target of 1819 book 50% Profit and revise stoploss to 1830 (Profit Rs.11/Share & 1375/Lot)
2M Securities (I) P Ltd: Buy MARUTI 1440PE only Around 40-42 stoploss 30 target 55-60 in Intraday. Cmp=42
2M Securities (I) P Ltd: BTST ITC Alert:- ITC done its 1st Target of 365 book 50% Profit and revise stoploss to 360 (Profit Rs.5/Share & 5000/Lot)
2M Securities (I) P Ltd: Option Alert:- MARUTI 1440PE Book 50% Profit at 48-50 and use revise stoploss at 42. (Profit Rs.1500/Lot)
2M Securities (I) P Ltd: Positional:- Buy Axisbank 1160PE around 14-16 Stoploss 10 Target 25-40
2M Securities (I) P Ltd: Info:- Positional call will have less accuracy than Intraday, Only Positional player preferred to entered in for Greater Profits, , Some time it will take little long time..
2M Securities (I) P Ltd: Positional Option Alert:- If Tatasteel 255PE reaches to 11 cover your 255PE and 260CE (11+2.2=13.2) i.e at cost rate and close the call.
2M Securities (I) P Ltd: Future Alert:- M&M Call not initiated, hence avoid the trade.
2M Securities (I) P Ltd: INFY Fo Alert:- INFY Fo done its 1st Target of 2760 book 75% Profit and revise stoploss to 2745 (Profit Rs.15/Share & 1875/Lot)
2M Securities (I) P Ltd: Average your TCS Eq, sell at 1684 Stoploss 1685 Target[protected]
2M Securities (I) P Ltd: Nifty Alert:- Nifty Fut exit around[protected] and close the call (Cost Rate) CMP=5985
2M Securities (I) P Ltd: TCS Eq Alert:- TCS Eq Sell average is 1664+1684=3348/2=1674, When it comes to near to that level exit and close the call. CMP=1679
2M Securities (I) P Ltd: Option Alert:- Intraday Players if Bought Axisbank 1160PE book 50% Profit around 17-19 and revise SL to 14.
2M Securities (I) P Ltd: Option Alert:- If some one wishes to hold Tatasteel 260CE & 255PE, You can hold till this weekend for Good profit.
2M Securities (I) P Ltd: Positional:- Buy M&M 880PE around 19-21 stoploss 15 target 28-35
2M Securities (I) P Ltd: Positional:- Buy ICICIbank 980PE around 19-21 stoploss 15 target 28-35
2M Securities (I) P Ltd: Option Alert:- M&M 880PE book 50% Profit around 25-27 and revise Stoploss to 21. (Profit Rs.1250/Lot)
2M Securities (I) P Ltd: Future Alert:- SBIN Fo book 75% Profit around 1802 and revise stoploss to 1830 (Profit Rs.28/Share & 3500/Lot)
2M Securities (I) P Ltd: Option Alert:- ICICIBank 980PE book 50% Profit around 24-26 and revise Stoploss to 21. (Profit Rs.1000/Lot)
2M Securities (I) P Ltd: Info:- If Banknifty Future breaks 10880 then buy Put option on rise for 100% profit on Investment.
2M Securities (I) P Ltd: Investor Info:- Hindunilever & ITC Looks Positive & Entire Banks looks negative for some more time..
2M Securities (I) P Ltd: Option Alert:- Banknifty Put option do not initiate in lower levels.. Wait for bounce
2M Securities (I) P Ltd: Dear valued customer, Your subscription is completed. kindly renew your package to continue our service. 2M Securities (I) P Ltd. Call [protected] / [protected]
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