• Risk Reward : High
  • Avg. Accuracy : ~70%
  • Qualified Profit : >Rs 11,000/Lot

Why subscribe MaxMin -Future ?

Read rationale 

Maximum Profit with the Minimum number of the trade (MaxMin) is a special advisory service for those investors & traders who are not profound screen based traders and do not wish to trade on daily basis.

In Long-term future, we will cherry pick stock future derivative based on value investing investment strategies where the stock is trading lower than their intrinsic value. The suggested counter may reward you Multibagger category of returns in short span of time. Average holding period could be between 1 week to 6 weeks, therefore, subscribers need to have patience and an adequate amount of capital to cover the daily M2M in this segment. We may also hedge these counter through options.

How is this smallcase built?

(a) Get 6 Months MaxMin Future in Rs 60000

(b) Get 6 Months MaxMin Option in Rs 60000

(c) Get 6 Months MaxMin Cash in Rs 40000




Subcription Price

Rs 20000 / Month

What subscribers will receive:

  1. Up to 15 calls after subscription of one-month which will be short-term equity future calls containing high risk-reward ratio.

  2. Not more than two advisory calls will remain open at the same point of time.

  3. All equity & commodity calls will have Entry Level, Target and Stop Loss (by default).

  4. Only one big target.

  5. Most of the calls on our stock market app will meet the target or SL within the stipulated time frame. We're not operators so we can't guarantee you the same.

  6. Get GST Invoice of a subscription plan.


Profit booking principle


For Safe Traders- Book profit between 50-60% of the total target.

For Moderate Traders- Book profit between 70-80% of the total target.

For Risky Traders- Book profit between 70-100% of the total target.

We suggest users who're waiting for the full target to start booking partial profit on the above-mentioned levels and revise the stop loss.

Strictly no overtrading at our platform and follow stop loss without any exception.


Stock Picking Process

Our proprietary based stock picking process is made with a combination of fundamentals. liquidity, volatility, expected news, current industry & counter specific trend along with other various hygiene-related checks such as promoters, quality, past performance etc. Our team identifies the set of stock which may outperform the market on a very short-term basis.

Leading indicators

Our major focus is to buy/sell at a lower/higher valuation and therefore our most calls are based on a combination of technical & fundamental indicators. Generally, overshoot our target as these stock & commodity market tips calls were advised around the accumulation phase of any specific counter. However, this will improve the risk-reward ratio to a great extent.

Sacrosanct Stop loss

We are very clear on the basic mantra of the market that ‘’capital is more important than the return’’ therefore stop loss levels are very important for us as calls which carry high stop loss will be out of our advisory bucket for that particular time.

Pocketing Profit

We provide only one target but that will be Big! Therefore we advise our users to book the profit in phase wise manner. This will not only help to reduce the stop-loss burden but also provide multiple trading opportunities in the same counter.

Equity & Commodity market trading and investment are subject to market risk. Recommendations are based on the theories of technical and fundamental analysis and personal observations. We do not guarantee any profit and are not responsible for any losses made by traders/investors basis our recommendations on any services

Script Name Entry Date Exit Date Entry Exit Profile loss

Copyright © 2019 TRADEIT.

Made withby TRADEIT

MaxMin -Future