100% profit in 6 months...!

What will be the outcome after 6 months...?


  • Total voters
    60
  • Poll closed .

linkon7

Well-Known Member
hey i have 3 4800 put what to do should i exit or stay plz sugest something and what is the key level to take loss and go out of the trade plz suggest.
This might be the beginning of the U-turn or just a dead cat bounce. Market is bearish as long as a close above 4966 doesnt happen. watch the first 15 min. if the low of the day is respected, exit the puts. I'll post the key level for tomorrow early morning. If market trades above that, then exit the puts.

Once bulls sense that a low is in place, 4800 put is the first level they'll short mercilessly...
 

linkon7

Well-Known Member
Key level is 4840 for today.... As long as we trade above this... I'll stay long.

I think dada will be smiling today. Didnt make an effort to make positions neutral... and will pay the price for it today morning. A minimum loss of 7 K is on the cards today morning. Will have to recover that plus today's tgt...
 

linkon7

Well-Known Member
Activity Today :
Dada ki jai… gap down… and then recover loss…
4840 taken out… shorted NF… 4837
reversal at 4853…
covered the 4800 put 113…
covere 5000 call 61
exited at 4831…
mistake…didn’t wait for SL to hit…
cci hook…2 min
long at 4825… sl 4812…cam
exited 3 lots at 4834
riding 1 lot with 4825 as SL…
exited 4853
shorted 4851… reversal 4957
reversal hit at 57
dev is warning of a basket selling
not much upside I suppose…
high made 4863
exited long at 59
shortd again… 57
sl 63
damn..got hit again..
last try… short at 4967…sl 73
that got hit…
this is so irritating…
china down 73 points now
shorted 4870…sl 4883
came to 59..and bounce…
vole is still very dry…
wait for sl to hit ot exit…
wait for sl to hit…
exited at 4864…
bot 5000 call for 67.5
shorted 5100 call for 39
spread costing me 28.5 points…
if 4966..gets taken out..then will exit 5100 call..
10 lots… max loss of 14,800 inclusing brokerage
need to job this cost down to negative…
volume is pathetic…
4902…
again nothing
too boring…
placed sl at 70 for 5000 call…
enough for the day
market's simply not doing anything
5000 call seems to bounce off the 80 mark…
sold… all at 79.8
now will buy back if 4922 is broken…
flatening again…
5100 is moving in a 3 point band…
simply doesn’t want to come down…or up
bot 5000 call back at 72…
ema 34 is flat…. a/d line is positive..volume shows strength wt bears…
 

linkon7

Well-Known Member
4800 put feb
shorted at 145 covered at 113
145-113 =32 -1 = 31


5000 call feb
bot at 84 covered at 61
bot at 66 covered at 61
61-66 = -5-1 = -6
61-84 = -23-1= -24

total profit = 31-24-6 = 1

5000 call - 5100 spread
5100 call feb
sold at 39 x 5 pairs
5000 call feb
bot at 67.5 x 5 poirs
sold at 79.8 bot back at 72
79.8 - 72 = 7.8-1 = 6.8
cost of 5000 call = 60.7 = 61

cost of the 5000-5100 spread
61-39
22


Nifty trades :

bought at 4568, covered at 4837, points gained 269, -2 as brokerage, net gain of 267 points
sold at 4837, covered at 4832, points gained 5, -2 as brokerage, net gain of 3 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4853, points gained 28, -2 as brokerage, net gain of 26 points
sold at 4851, covered at 4857, points gained -6, -2 as brokerage, net gain of -8 points
bought at 4857, covered at 4859, points gained 2, -2 as brokerage, net gain of 0 points
sold at 4856, covered at 4863, points gained -7, -2 as brokerage, net gain of -9 points
sold at 4867, covered at 4873, points gained -6, -2 as brokerage, net gain of -8 points
sold at 4870, covered at 4864, points gained 6, -2 as brokerage, net gain of 4 points
 

linkon7

Well-Known Member
positions held :

5000 call and 5100 call spread :
cost : 22
present price 31
No.of lots : 10

Unrealised profit : 4500 /-

profit realised today :
N/f = 29,600 /-
options = 100 /-
total = 29,700 /-

total profit booked till date : 21150+29700 = 50,850 /-
Total m2m profit : 4500 /-
 

linkon7

Well-Known Member
Overview of today's performance :

Pathetic game play today. Did not follow charts. Gave importance to market news and screwed up totally. Kept looking for shorting opportunity which was not there. Didnt wait for Sl to hit when i was long. waited for sl to hit when i was short. there was a clean 95 points ride today...messed it up totally. gave up almost half of today's morning gains in trying to be the hero...
 

rajputz

Well-Known Member
Overview of today's performance :

Pathetic game play today. Did not follow charts. Gave importance to market news and screwed up totally. Kept looking for shorting opportunity which was not there. Didnt wait for Sl to hit when i was long. waited for sl to hit when i was short. there was a clean 95 points ride today...messed it up totally. gave up almost half of today's morning gains in trying to be the hero...
I TOLD YOU NOT TO BELIVE THE NEWS...... :annoyed:
 
Last edited:

NiftyFantasy

Well-Known Member
4800 put feb
shorted at 145 covered at 113
145-113 =32 -1 = 31


5000 call feb
bot at 84 covered at 61
bot at 66 covered at 61
61-66 = -5-1 = -6
61-84 = -23-1= -24

total profit = 31-24-6 = 1

5000 call - 5100 spread
5100 call feb
sold at 39 x 5 pairs
5000 call feb
bot at 67.5 x 5 poirs
sold at 79.8 bot back at 72
79.8 - 72 = 7.8-1 = 6.8
cost of 5000 call = 60.7 = 61

cost of the 5000-5100 spread
61-39
22


Nifty trades :

bought at 4568, covered at 4837, points gained 269, -2 as brokerage, net gain of 267 points
sold at 4837, covered at 4832, points gained 5, -2 as brokerage, net gain of 3 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4834, points gained 9, -2 as brokerage, net gain of 7 points
bought at 4825, covered at 4853, points gained 28, -2 as brokerage, net gain of 26 points
sold at 4851, covered at 4857, points gained -6, -2 as brokerage, net gain of -8 points
bought at 4857, covered at 4859, points gained 2, -2 as brokerage, net gain of 0 points
sold at 4856, covered at 4863, points gained -7, -2 as brokerage, net gain of -9 points
sold at 4867, covered at 4873, points gained -6, -2 as brokerage, net gain of -8 points
sold at 4870, covered at 4864, points gained 6, -2 as brokerage, net gain of 4 points
??? nifty bot @4568 ???? when & how?? todays low is around 4820
 

linkon7

Well-Known Member
??? nifty bot @4568 ???? when & how?? todays low is around 4820
Its effective price. I dont have a fairy god mother who granted me a special price...:lol:

say u short at 4900 and then reverse the trade to long at 4800 and carry it for the next day, your effective price is last price long minus the profit u got by jobbing. i.e. u got a profit of 100 points from the short, u minus that from the price u went long, so your effective price of the long is 4700...:)
 

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