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    Disclosure

    Disclosure in pursuance of Section 19 of SEBI (RA) Regulation 2014


    SUDIP BRAHMACHARY, his associates, employees did not receive any compensation or other benefits from the companies mentioned in the calls or reports. Compensation of our Research Analysts is not based on any specific merchant banking, investment banking or brokerage service transactions. SUDIP BRAHMACHARY Research Analyst DO NOT hold any position in Equity Market. Traders / Investors should consider the recommended call(s) & report(s) as only information in making their Trading / Investment decision and must exercise their own judgment before making any Trading / investment decision.


    There are risks associated with utilizing internet and short messaging system (sms) based information and research dissemination services. Research data, Calls and reports published/ emailed/ text messaged via Short Messaging Services, Online Messengers, WhatsApp, Telegram etc/transmitted through mobile application/s, and or those made available/uploaded on social networking sites (e.g. Facebook, Twitter, LinkedIn etc) by SSUDIP BRAHMACHARY are for informational purposes only. The call(s) & report(s) are provided for assistance and are not intended to be and must not alone be taken as the basis for an Investment / Trading decision.


    The user assumes the entire risk of any use made of this information.


    Disclaimer-


    All the mentioned recommendations or tips offered to any person(s) with respect to the purchase or sale of the stocks / futures are totally on the base of technical analysis. We do not provide this with the aim of boost or hinder the stock market. We do not have any of the position in any recommended stocks. We do not accept any compensation or commission from the particular stock company to advise their stocks. We advise trader to trade according to their capital & risk taking capacity & follow the strict stop loss must. Information is obtained from sources deemed to be reliable but is not guaranteed as to accuracy and completeness. Past performance does not guarantee future results. You should not rely on any past performance as a guarantee of future trading views written in this site and it is also possible to make significant losses.


    Note: Visiting this website will be considered as acceptance to this disclaimer


    Important Nomenclature and their descriptions & Meanings


    Here is an exhaustive list of nomenclatures used in our research reports, and these are the meanings of the same


    A Sample of Research Report is used here for ease of understanding

    "Buy Sensex 77500PE Above 250 SL 220 Target 300/350"


    Here, "Buy" means that we are recommending a Buy in the security

    "Sensex" Denotes the underlying asset

    "77500" is the strike price

    "PE" is the type of option

    "Above 250" Means price should cross the recommended rate (It is advisable to always wait for 1 minute closing to the recommended rate and  take actual entry above that level)

    "SL 220" Means the price at which one should exit shall the trade goes against our recommendation. This is a finite and deterministic number, we always urge you to look into the SL figure and first ascertain if you can afford the trade according to your capital. In cases SL is not mentioned that means SL in this case is Open, and the risk of holding such a trade is significantly higher

    "Target 330/350" These are the rates at which one should book their profits according to their comfort. In cases Targets are not mentioned, we urge you to please stay careful and book quickly. 


    Trading in Futures and Options are particularly risky due to the fact that movement in derivatives instrument are dependent not just on underlying asset but also on the instrument's greeks. 

    The research calls given for free do not come with SL or targets as they exhibit our general view of the market. 

    However, all calls given in premium channel are provided with strict stop loss and targets. We urge you to understand the importance of maintaining small stop losses as one pivotal measure to returns in the stock market remains at maintaining risk reward ratio.


    As the inherent movement in long options can be ascertained as Delta plus Gamma minus Theta hence it is imperative that we find out opportunity that beats the theta decay and can find a positive coefficient. In our endeavour to do so and to maintain the overall sanctity of most traders trading in derivatives segment we tend to provide extremely compelling stop losses to enable a risk reward of more than 1:2 in most places. 


    We urge viewers to understand this primary difference between Free research and Premium Research calls to help them take an informed decision. We also strongly advice you to ask to see sample research calls as shared in premium channels to help you ascertain the risk reward and adjusted risk related to futures and options.

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