Looking at options data so far, 4900-30 might be the level till expiry... But if the bulls try a lil bit hard, 5000 is a possibility (Banking sector might be the frontrunner... heavy unwinding may happen)...
like many others, I too feel that it is not good to just post the profit/loss without giving reasons for entering the trades...but I do not have enough time to post charts with reasons...
WHAT MADE U TO SHORT AT THAT LEVEL.??? BRO...!!!. YOUR PIVOTS...??
I COVERED MY SHORTS FROM 4920.. AND WENT LONG AT 4868.5 AND STILL HOLDING MY LONG... TSL AT 4880.. WITH A TARGET OF 4930++ SPOT NIFTY...
AS I WRITE... MY MTM IS ZOOMING...:clap::clap::thumb:
WHAT MADE U TO SHORT AT THAT LEVEL.??? BRO...!!!. YOUR PIVOTS...??
I COVERED MY SHORTS FROM 4920.. AND WENT LONG AT 4868.5 AND STILL HOLDING MY LONG... TSL AT 4880.. WITH A TARGET OF 4930++ SPOT NIFTY...
AS I WRITE... MY MTM IS ZOOMING...:clap::clap::thumb: