My Daily Options Trading Diary

Status
Not open for further replies.

findvikas

Well-Known Member
The IDFC chart is not bearish wolfe wave. There is no wolfe wave. Not to say that it will not move down. But I have seen wolfe waves not drawn correctly also touches epa sometimes.

Looks like I missed a lot of activity here.
:thumb:
IDFC is NOT AT ALL BEARISH, its ready for mid/long term up trend, but there is minor correction that I foresee to make the next upmove more strong...

I said it has potential to retest 150-147 levels, and it went down all the way till 149.35 today, Friday could be another day for it to correct a bit may be test 146-147 and that could be a good level to buy it in bulk for a target of 157 and above 160 I see 2nd May's high of 191
 

mayavi99

Well-Known Member
Exited TTML 35CA @ 1.10. Went long in mini @ 4999 & squared @ 5022. Bought 5000PE @114.80 & sold it @ 128.45. Net + in fno intra 940 & booked profit of TTML 2k. Continue to hold bharti & suzlon calls. No new position entered. Total booked profits since Oct. 01 around 18k
 

findvikas

Well-Known Member

MurAtt

Well-Known Member

findvikas

Well-Known Member
long wale khushiyan manao... US Stocks Up; Jobless Claims Dip.
S&P is expected to retest 1080, may be today itself or most likely tomorrow... if it break 1080 then no one can stop it to test 1100

with sentiment boost in TELECOM, RIL & Most likely good numbers in Technology.. I think we will cross 5200 very soon and above that 5300 by Diwali.... am I too much optimist ??? :D
 

scorpio77

Well-Known Member
Great Trades Mayavi,

You sold the TTML Call at the absolute high of the day! :thumb:

Did you have a target for this and the Nifty trades or was the SAR based on any strategy?

Exited TTML 35CA @ 1.10. Went long in mini @ 4999 & squared @ 5022. Bought 5000PE @114.80 & sold it @ 128.45. Net + in fno intra 940 & booked profit of TTML 2k. Continue to hold bharti & suzlon calls. No new position entered. Total booked profits since Oct. 01 around 18k
 

mayavi99

Well-Known Member
Great Trades Mayavi,

You sold the TTML Call at the absolute high of the day! :thumb:

Did you have a target for this and the Nifty trades or was the SAR based on any strategy?
No specific targets dear. I am a regular 9-6 office guy. I only depend on a friendly broker who calls me very often over mobile and inform me the position. Today around 2.30pm he called to say some TTML guy is on cnn-ibn and the price has suddenly jumped. I told him to square it off. BTW, i bought it only @ 0.90 and not at a lower price.

As regards nifty, i follow the guidance levels of Savant and my broker informs me the RSI/ Stoch levels when he watches the RT charts. When i square off a long nifty in profit, i wait for sometime and if it still moves up, then buy a PUT and patiently wait for the index to come down. Likewise, when i liquidate a short nifty, i buy a call. The idea is based on one of the posts of Savant where in he has said Oct month will be full of volatility. i am just trying to make the best out of this volatility. No other specific strategy and the result is the will of Divine Almighty.
 

itzarvind

Well-Known Member
Guys,

Small comment on SUZLON.. by Savant

Am just a learner, posting this as an update.

Any question regarding this..please direct it to some Experts.. :)

Anyways Taking This Opportunity To Bring To Notice Anybody Holding SUZLON....Please Exit...I Think It Can Come Down Below 70.. Reason Being They Are Not Finding Buyers For Their 61% Stake In HANSEN & They Are Planning Raise 11000 Crore...In My Opinion They Will Have Very High Debt Ratio
Moderator(Savant),

Copied and pasted your comments from stocks to Keep close eye on thread to this thread.

I did this, since some of our friends, including SM is holding SUZLON.

If this is wrong. Please delete this Post

Regards,
Arvind

 
Status
Not open for further replies.

Similar threads