1. THERE WILL BE 15-20 CALLS FROM EQUITY SEGMENT IN A YEAR.
2. STOCKS WILL BE SELECTED FROM MID CAP , SMALL CAP AND LARGE CAP SEGMENTS.
3. EXPECTED RETURNS WILL BE 25-30-40 PERCENT RESPECTIVELY.
4. HOLDING PERIOD WILL BE 6-12 MONTHLY.
5. CAPITAL REQUIRED 1-3 LACKS.
6. PROPER FOLLOW UP AND UPDATION WILL BE GIVEN ON EACH LEVEL.