iTrade4Profit

Accurate short term trading calls


Our Calls
  Latest
  This Month
  This year
  Last Year
 
 
 Search Calls
   
Contact Us
   

Related Links

 
  Share Market Tips
  Indian Share Tips
  Free Market Tips
  Day Trading Tips
  Intraday Tips
 
Follow itrade4profit on Twitter
 
 
18 out of 20 calls for EUROBOND proved profitable, with an average profit of 2% within 3 trading days.
 
The following are the details of the last 30 calls given by us for (EUROBOND).

Please note that few or all of these calls may not appear in the daily pre-market calls published on the website. Pre-market calls are published on the website only if the scrip closes above Rs. 100/-. However, all pre-market calls are available to our registered subscribers in their mail box. To register, please use the Contact Us link.
 
1) We gave a BUY call for EUROBOND on 4  Sep, 2026. The scrip opened at 154 but did not rise as expected. However, it fell to 148.01 before closing at 151. Although we consider this as a rare Failed Call
 
2) On 31  Aug, 2026, we gave a SELL call for EUROBOND. The scrip opened at 154 and reached a low of 149.05 within next 3 trading days, giving an opportunity to book of profit of Rs.4.95 i.e. 3.21%.
 
3) We gave a BUY call for EUROBOND on 5  Aug, 2026. The scrip opened at 165.9 and rose to 166.78 within next 3 trading days, giving an opportunity to book of profit of Rs.0.88 i.e. 0.53%.
 
4) On 15  Jul, 2026, we gave a SELL call for EUROBOND. The scrip opened at 168 and reached a low of 163.85 within next 3 trading days, giving an opportunity to book of profit of Rs.4.15 i.e. 2.47%.
 
5) We gave a BUY call for EUROBOND on 26  May, 2026. The scrip opened at 188 and rose to 192.66 within next 3 trading days, giving an opportunity to book of profit of Rs.4.66 i.e. 2.48%.
 
6) We gave a BUY call for EUROBOND on 25  May, 2026. The scrip opened at 190 and rose to 195 within next 3 trading days, giving an opportunity to book of profit of Rs.5 i.e. 2.63%.
 
7) We gave a BUY call for EUROBOND on 12  May, 2026. The scrip opened at 194 and rose to 194.5 within next 3 trading days, giving an opportunity to book of profit of Rs.0.5 i.e. 0.26%.
 
8) We gave a BUY call for EUROBOND on 28  Apr, 2026. The scrip opened at 172.66 and rose to 183 within next 3 trading days, giving an opportunity to book of profit of Rs.10.34 i.e. 5.99%.
 
9) On 16  Mar, 2026, we gave a SELL call for EUROBOND. The scrip opened at 157 and reached a low of 144 within next 3 trading days, giving an opportunity to book of profit of Rs.13 i.e. 8.28%.
 
10) On 20  Feb, 2026, we gave a SELL call for EUROBOND. The scrip opened at 179.8 and reached a low of 170 within next 3 trading days, giving an opportunity to book of profit of Rs.9.8 i.e. 5.45%.
 
11) On 22  Jan, 2026, we gave a SELL call for EUROBOND. The scrip opened at 172.01 and reached a low of 167.51 within next 3 trading days, giving an opportunity to book of profit of Rs.4.5 i.e. 2.62%.
 
12) On 21  Jan, 2026, we gave a SELL call for EUROBOND. The scrip opened at 173.62 and reached a low of 170 within next 3 trading days, giving an opportunity to book of profit of Rs.3.62 i.e. 2.09%.
 
13) We gave a BUY call for EUROBOND on 14  Jan, 2026. The scrip opened at 192.99 but did not rise as expected. However, it fell to 175.02 before closing at 181.23. Although we consider this as a rare Failed Call
 
14) On 10  Dec, 2025, we gave a SELL call for EUROBOND. The scrip opened at 183.78 and reached a low of 179.5 within next 3 trading days, giving an opportunity to book of profit of Rs.4.28 i.e. 2.33%.
 
15) On 26  Nov, 2025, we gave a SELL call for EUROBOND. The scrip opened at 180.63 and reached a low of 168.9 within next 3 trading days, giving an opportunity to book of profit of Rs.11.73 i.e. 6.49%.
 
16) We gave a BUY call for EUROBOND on 12  Nov, 2025. The scrip opened at 218.01 and rose to 221.01 within next 3 trading days, giving an opportunity to book of profit of Rs.3 i.e. 1.38%.
 
17) On 28  Oct, 2025, we gave a SELL call for EUROBOND. The scrip opened at 208.41 and reached a low of 205.51 within next 3 trading days, giving an opportunity to book of profit of Rs.2.9 i.e. 1.39%.
 
18) On 13  Oct, 2025, we gave a SELL call for EUROBOND. The scrip opened at 200.99 and reached a low of 196.74 within next 3 trading days, giving an opportunity to book of profit of Rs.4.25 i.e. 2.11%.
 
19) On 16  Sep, 2025, we gave a SELL call for EUROBOND. The scrip opened at 227.05 and reached a low of 220.5 within next 3 trading days, giving an opportunity to book of profit of Rs.6.55 i.e. 2.88%.
 
20) We gave a BUY call for EUROBOND on 18  Aug, 2025. The scrip opened at 246.6 and rose to 254.5 within next 3 trading days, giving an opportunity to book of profit of Rs.7.9 i.e. 3.2%.
 
 

comments powered by Disqus

Home | Our Calls Latest This Month This Year Last Year | Most profitable trading calls | Matured Positional calls | Articles | Contact Us