Stocks To Keep A Close Eye On

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SavantGarde

Well-Known Member
Hi Prasad,

Here is the difference......

You have simply managed to analyse my statement...

Whereas my statement was based on SM's way of trading and his comfort level....because if at some point he has to write a CALL then he would not be required to put additional margin for writing a CALL....

For writing A CALL & PUT broker will only require 1 Lot NF margin as security against risk.... although Margin shouldn't be required if writing a CALL & PUT...but brokers insist on 1 Lot margin....


Happy & Safer Trading

SavantGarde

SG.

I could not understand the writing of 6300 put part.

If the out look is bullish, then is it not a better to buy futures? because both will be profitable above 6050.( considering the premium of 70 odd points for futures). but, futures gain much more if nifty travels to higher levels above 6300.

Risk is equal below 6050 for 6300 PE and futures.

Margins are also same.

Or am I missing something?
 

SavantGarde

Well-Known Member
Hi Amrut,

Exit ABG 30% quantity on Monday if it goes up....

BALRAMCHIN - Hold Till March, Keep some sugar in your portfolio....Diwali is approaching....:)


Happy & Safer Investing

SavantGarde

stocks.murtaza's /Savant sir ,
Murtaza bhai , ia m still oldingon to ABG shipyard. Yes , i was tempted to sell it at 300rs, but savant isrs advice my trust in his judgement prevented from selling it.
and now i am dumbstruck.How did savant sir no that it will pick up in this month? and he had asked me to hold till october about 2 months ago. That was amazing.
I salute u savant sir for your sellfless service that you are doing on this forum.I can tell you from my experience that the advices that u give are so invaluable and selfless , that nobody would mind even paying you for it. Cause peple trust you sir ,
Though a novice, i have learnt a lot of fundamental basics about equity markets from just following you advices and replies to queries of others on this forum.
Same for u murtaza bhai, Learning a lot from your posts too.

Well , but now that i am sitting on a 75 % profit and i dont need the money still , should i hold , exit at a particular level or partially book profit ?

Sir also advice on Balram chini .. Ihv 200 shares at 81RS . It peaked to 92 rs and now again sliding down to almost 85rs . should i sell it and incest in a better company or should i hold it till diwali end ? Pls advice . I am invested in it since 4 months.

Thanks again for your advice
 
Hello Savant,

I bought 50 shares of HDFC @Rs. 688.80 today and also bought 330 shares of South India Bank Ltd @Rs. 28.80 yesterday. Can hold these shares upto Mar'2011.

Kindly suggest the future prospects for the above.

Can I invest in Dena Bank ,Tata Motors Ltd and IDFC at current levels? Please advice.

Regards,

Partha Sur
 
ANY BODY CAN HELP WHAT IS MMA.AFL?


Thanks in advance


_SECTION_BEGIN("SingleMA");

SetChartOptions(0, chartShowDates | chartWrapTitle);

#include <MMA.afl>

Type = ParamList("Average Type", "Wilders,SMA,EMA,MMA");
P = Param("Averaging Period", 20, 3, 100,1);
Q = Param("%Change", 1, 0.1, 10, 0.1);
BP = Param("BB Period", 20, 3, 100);
BW = Param("BB Width", 2, 0.5, 10, 0.5);
BBOption = ParamToggle("Plot BB", "No I Yes");

Report = ParamList("Trigs or Update or Tgt-SL?", "Triggers|Update|Tgt-SL");

if(Type == "Wilders") A = Wilders(C, P);
if(Type == "SMA") A = MA(C, P);
if(Type == "EMA") A = EMA(C, P);
if(Type == "MMA") A = MMA(P);

SL = Max(LLV(L, 5), Trough(L, Q, 1));

Tgt = 2 * H - SL;
MeanPrice = Prec((O + C) / 2, 2);

Part = 100 * (H - A) / (H - L);

BBTop = BBandTop(C, BP, BW);
BBBot = BBandBot(C, BP, BW);

Buy = (C > A) AND (Part > 70);
Sell = H < A;

Buy = ExRem(Buy, Sell);
Sell = ExRem(Sell, Buy);
Bought = Flip(Buy, Sell);
Sold = Flip(Sell, Buy);
NextTgt = ValueWhen(Buy, Tgt, 1);

for(i = 1; i < BarCount; i++)
{
if(Bought AND NOT Buy)
{
SL = Max(SL, SL[i - 1]);
if(C[i - 1] >= 0.9999 * NextTgt[i - 1]) NextTgt = Tgt[i - 1];
NextTgt = Max(NextTgt, NextTgt[i - 1]);
}
}
BuyDate = ValueWhen(Buy, Ref(DateTime(), 1), 1);
BuyPrice = ValueWhen(Buy, Ref(MeanPrice, 1), 1);
SellPrice = ValueWhen(Sell, Ref(MeanPrice, 1), 1);

TgtReached = IIf(Bought AND NOT Buy AND C >= 0.9999 * NextTgt, True, False);
SLHit = IIf(Bought AND NOT Buy AND C < SL, True, False);
SLHit = ExRem(SLHit, Buy);
//
if(TgtReached[BarCount - 1]) NextTgt[BarCount - 1] = 2 * H[BarCount -1] - SL[BarCount - 1];
//
if(Status("action") == actionIndicator)
{
Ttl = EncodeColor(colorTurquoise) + "Single MA system, AFL by ANANT NAVALE" + "\n"
+ WriteIf(Buy, EncodeColor(colorGreen) + "Buy Triggered Today, Buy this stock Tomorrow.","")
+ WriteIf(Sell, EncodeColor(colorRed) + "Sell Triggered Today, Sell This stock Tomorrow.", "")
+ EncodeColor(colorTan) + WriteIf(Bought AND NOT Buy, "Bought @ " + BuyPrice + ". "
+ "Target Price = " + NextTgt + ", Stop Loss = " + SL + ".\n"
+ WriteIf(TgtReached, "Target Reached. Next Target = " + Ref(NextTgt, 1) + "\n", "")
+ EncodeColor(colorGold) + "Profit / Loss so far = " + Prec(100 * (C - BuyPrice) / BuyPrice, 2) + "%", "")
+ WriteIf(Sold AND NOT Sell, "Sold @ " + SellPrice + "\nProfit / Loss in Previous Trade = " + Prec(100 * (SellPrice - BuyPrice) / BuyPrice, 2) + "%", "");

_N(Title = StrFormat("{{NAME}} ({{INTERVAL}}), {{DATE}} ; {{OHLCX}}, V=%1.0f\n {{VALUES}}\n\n", V) + Ttl);
ChartStyle = ParamStyle("Chart Type", styleBar, maskAll);

Plot(C, "", colorGrey50, ChartStyle);
Plot(A, Type + "(" + P +")", colorYellow, styleLine | styleThick);
Plot(IIf(Bought, NextTgt, Null), "Target", colorBlueGrey, styleLine);
Plot(SL, "Trail SL", colorTeal, styleLine);
PlotShapes(IIf(Buy, shapeSquare, shapeNone),colorGreen, 0, L, Offset=-20);
PlotShapes(IIf(Buy, shapeSquare, shapeNone),colorLime, 0,L, Offset=-30);
PlotShapes(IIf(Buy, shapeUpArrow, shapeNone),colorWhite, 0,L, Offset=-25);
PlotShapes(IIf(Sell, shapeSquare, shapeNone),colorRed, 0, H, Offset=20);
PlotShapes(IIf(Sell, shapeSquare, shapeNone),colorOrange, 0,H, Offset=30);
PlotShapes(IIf(Sell, shapeDownArrow, shapeNone),colorWhite, 0,H, Offset=-25);
if(BBOption) Plot(BBtop, "BB-Top", colorPink, styleLine);
if(BBOption) Plot(BBBot, "BB-Bot", colorPink, styleLine);
}

if((Status("action") == actionExplore) AND Report == "Triggers")
{
Filter = Buy OR Sell;

SetOption("NoDefaultColumns", True);

AddTextColumn(Name(), "Symbol", 77, colorDefault, colorDefault, 120);
AddColumn(DateTime(), "Trigger Date", formatDateTime);
AddColumn(IIf(Buy, 66, 83), "Signal", formatChar, colorYellow, IIf(Buy, colorGreen, colorRed));
AddColumn(C, "C. M. P.", 6.2);
AddColumn(IIf(Buy OR Bought, NextTgt, Null), "Target", 6.2);
AddColumn(IIf(Buy OR Bought, SL, Null), "StopLoss", 6.2);
}
if((Status("action") == actionExplore) AND Report == "Update")
{
Filter = True;

SetOption("NoDefaultColumns", True);

AddColumn(DateTime(), "Updated On", formatDateTime, colorDefault, colorDefault, 96);
AddTextColumn(Name(), "Symbol", 77, colorDefault, colorDefault, 120);
AddColumn(BuyDate, "Buy Date", formatDateTime, colorDefault, colorDefault, 96);
AddColumn(BuyPrice, "Buy Price", 6.2);
AddColumn(NextTgt, "Target", 6.2);
AddColumn(SL, "StopLoss", 6.2);
AddColumn(C, "CMP", 6.2, colorDefault, colorDefault, 96);
}
if((Status("action") == actionExplore) AND Report == "Tgt-SL")
{
Filter = TgtReached OR SLHit;

SetOption("NoDefaultColumns", True);

AddColumn(DateTime(), "Updated On", formatDateTime, colorDefault, colorDefault, 96);
AddTextColumn(Name(), "Symbol", 77, colorDefault, colorDefault, 120);
AddColumn(BuyDate, "Buy Date", formatDateTime, colorDefault, colorDefault, 96);
AddColumn(BuyPrice, "Buy Price", 6.2);
AddColumn(NextTgt, "Target", 6.2);
AddColumn(SL, "StopLoss", 6.2);
AddColumn(C, "CMP", 6.2, colorDefault, colorDefault, 96);
AddColumn(IIf(TgtReached, 89, 32), "Tgt Hit?", formatChar, colorYellow, IIf(TgtReached, colorGreen, colorDefault));
AddColumn(IIf(TgtReached, 2 * H - SL, Null), "Next Tgt", 1.2);
AddColumn(IIf(SLHit, 89, 32), "SL-Hit", formatChar, colorYellow, IIf(SLHit, colorRed, colorDefault));
}

_SECTION_END();
 
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