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Positional & Long-term Basket by Relitrade
RELITRADE RA
6 Month Fee
β‚Ή9,999
β‚Ή11,994
17% OFF
Risk
Moderate–High
Basket Return
+27.97%
Monthly Plan
β‚Ή1,999/mo
+20.41% outperformance vs Nifty 50Positional & Long-term Basket returned +27.97% vs Nifty 50 +7.56% since inception in Feb 2025
Basket Analytics
Nifty 50 vs Positional & Long-term Basket β€” Cumulative Returns (%)
Positional & Long-term Basket
Nifty 50
-10%+1%+11%+22%+32%Feb-25Apr-25Jun-25Aug-25Oct-25Dec-25Feb-26
Feb 2025 – Feb 2026 Β· Past performance is not indicative of future results
Performance Parameters
ParameterValue
Total Calls35
Win Calls22
Loss Calls13
Strike Rate62.86%
Positional Calls (2–4 wk)25 calls
Strike Rate (Positional)68.00%
ROI per β‚Ή10L (Positional)+15.93%
Long-term Calls (3–12 mo)10 calls
Strike Rate (Long-term)50.00%
ROI per β‚Ή10L (Long-term)+12.00%
Average ROI per Call1.84%
Cumulative ROI+27.97%
Nifty 50 Return (same period)+7.56%
Outperformance vs Nifty 50+20.41%
Positive Periods9 / 13 months
Segment Strike Rate Comparison
Positional (2–4 wk)
25 calls
68%
Long-term (3–12 mo)
10 calls
50%
Month-by-Month Cumulative Returns
Positional & Long-term Basket
Nifty 50
-10%+1%+11%+22%+32%Feb-25Apr-25Jun-25Aug-25Oct-25Dec-25Feb-26
PeriodOur BasketNifty 50Outperformance
Feb-25+0.14%+0.14%+0.00%
Mar-25+6.67%βˆ’5.89%+12.56%
Apr-25+7.51%+3.87%+3.64%
May-25+12.67%+5.58%+7.09%
Jun-25+13.35%+8.68%+4.67%
Jul-25+11.20%+5.75%+5.45%
Aug-25+10.48%+4.37%+6.11%
Sep-25+17.02%+5.12%+11.90%
Oct-25+25.18%+9.63%+15.55%
Nov-25+27.97%+11.50%+16.47%
Dec-25+27.97%+11.22%+16.75%
Jan-26+27.97%+8.12%+19.85%
Feb-26+27.97%+7.56%+20.41%
Frequency
Monthly
Last Rebalance
1 Apr 2026
Next Rebalance
1 May 2026
Benchmark
Nifty 50
Positional Trade Picks
RELIANCEICICIBANKLTBAJFINANCETCS
Long-term Investment Picks
TITANHDFCBANKSUNPHARMA
Active Calls Snapshot
StockTypeEntryTargetSLStatus
RELIANCEPOSβ‚Ή2,450β‚Ή2,680β‚Ή2,340OPEN
ICICIBANKPOSβ‚Ή1,120β‚Ή1,280β‚Ή1,040Target Hit
TITANLTβ‚Ή3,480β‚Ή4,100β‚Ή3,180OPEN
TCSPOSβ‚Ή3,680β‚Ή3,950β‚Ή3,520Target Hit
* Sample picks are just a glimpse. The real edge lies in a fully mapped strategyβ€”CMP, precise Entry, SL & Targets. Unlock the complete profit blueprint by subscribing to this product basket
R
POSITIONAL & LONG-TERM BASKET
Two horizons. One disciplined strategy.
The Positional & Long-term Basket combines 2–4 week positional trades with 3–12 month long-term investments into a single subscription. Every stock is evaluated on technical timing AND fundamental strength β€” giving you the best of both.
How we pick every call
πŸ“Š
Techno-Funda Screening
We combine fundamental analysis (earnings, valuations, balance sheet) with technical confirmation (trend, volume, momentum) before issuing any call.
βš–οΈ
Fair Valuation at Entry
Every call β€” positional or long-term β€” has a margin of safety. We never buy overpriced stocks regardless of momentum.
πŸ“ˆ
Dual Horizon Coverage
Positional calls generate short-term alpha while long-term picks compound over quarters. Together, they deliver smoother overall returns.
Why this basket?
🎯
Both horizons, one subscription
Positional trades for quick returns + long-term picks for compounding wealth β€” in a single affordable subscription.
πŸ”„
Monthly rebalancing
We review both the positional and long-term books monthly to ensure our portfolio reflects current market conditions.
⚑
Instant alerts on every call
Real-time WhatsApp and app alerts for every entry, exit, and stop loss on both positional and long-term calls.
πŸ“‹
Techno-funda research note per call
Each call comes with a note explaining the fundamental thesis, technical entry, target logic, and key risks.
πŸ“‰
+20.41% ahead of Nifty 50
Since Feb 2025, this basket has returned +27.97% vs Nifty 50 +7.56% β€” combining short-term trading with long-term compounding.
🀝
Monthly RM performance review
Your Relationship Manager reviews your basket performance monthly and follows up on all open and closed calls.
Who is this basket for?
The Positional & Long-term Basket is built for investors who want the best of both worlds β€” active positional trading alongside patient, long-term compounding.
βœ“You want short-term trading AND long-term investing in one subscription
βœ“You can act on alerts quickly when they arrive
βœ“You believe in combining technicals with fundamentals
βœ“Your goal is consistent, above-market returns across market cycles
Basket Details
How this basket works
Positional trades (2–4 weeks) + Long-term picks (3–12 months) combined in one subscription at just β‚Ή1,999/month.
πŸ“Š
Techno-Funda Screening β€” We combine fundamental analysis (earnings, valuations, balance sheet) with technical confirmation (trend, volume, momentum) before issuing any call.
βš–οΈ
Fair Valuation at Entry β€” Every call β€” positional or long-term β€” has a margin of safety. We never buy overpriced stocks regardless of momentum.
πŸ“ˆ
Dual Horizon Coverage β€” Positional calls generate short-term alpha while long-term picks compound over quarters. Together, they deliver smoother overall returns.
Goal: two horizons. one disciplined strategy.