Dear Arvind, Gud Morn. A few occassion i put Stop Buy Order at prev days high but triggered my price & came dn & never gone up. Will u mind 2 suggest what is the remedy. Is it wise 2 buy if price sustains above that level for a while or we can buy at lower price assuming uptrend? Thanks....SM
Dear RizukBhai, Out of many one very active & selfless regular contributor of this Forum & very close 2 our Guru Mr SG & stock.murtaja is LINKON007 whose name u have not mentioned though he is from Kolkata. Plz dont mind, just this for ur information. Thanks....SM
First scan stocks using the crossover (May be 5/6 or 20/50 ) (Which is already done in chapter 2 and listed by Savant and Anant) then look for the previous day high, and once it cuts the previous day high, you can get in and come out easily.
If you are keeping in your portfolio, then dont worry if the price comes down a little, as long as the crossover is well in tact, there would not be any problem.
SM, me too learning, this is what i do, Savant would be the correct person to answer more on this
Dear Arvind, Gud Morn. A few occassion i put Stop Buy Order at prev days high but triggered my price & came dn & never gone up. Will u mind 2 suggest what is the remedy. Is it wise 2 buy if price sustains above that level for a while or we can buy at lower price assuming uptrend? Thanks....SM
Today the share is credited to my account. They didn't provide me any contract note for the auction.Shall I ask for the contract note today or i shall wait for tomorrow?
Today I got a strange email from my broker (Sharekhan)..
the email said:
"We write to you in connection with your delivery entitlements for Settlement Number NSENRxxxxxxx .
We would like to inform you that the 10 shares of Ksk Energy Ventures Ltd. have been received short at our end from the Exchange. We are expecting deliveries or close out in respect of your entitlement in the next 1 or 2 days time after the Auction. We would be crediting the same on receipt from the Exchange after Auction Pay-Out.
You can view the same in your cash/DP account in a couple of days time."
I buy 10 share of ksk energy on 24/09/2009.
Please put some light on this email..and let me know what shall i do now?
In your suggested script for short term investor if target or stoploss hits,then shall i immediately exit from the stock or shall i wait for your updated target or stoploss?
As Single Entities Both Are Still On B.HOLD List Of Stock Futures
IDBI Had Triggered BUY On 02/09/2009 @ 101.50 & IDFC Had Triggered BUY On 17/08/2009 @ 131.40
Therefore If You Were Following The Trigers, You Would Still Be Long In Either Or Both.
Now Coming To Pair Trade
There Are Various Reasons For Pair Trade
a) If The Market Is Highly Volatile & Choppy
b) If The Sector Has The Tailwind, It Is Much Safer To Short Something In The Sector Which Has Had A Huge Move On A Single Day & Go Long On Something That Has Remained Quiet & Rangebound.
c) Acts As Both Hedge & Nimble Trading Strategy, If We Are Undecided About Market Move The Following Day.
d) Strategy Was Outlined In The Last 30 Minutes...For Position To Be Taken On Thursday, Going Forward One Shouldn't Take Position On Monday.
e) Invariably Both Pairs End Up Giving Profits.
Anyways For This Month Watch For FEDERALBANK....Could Prove Profitable But Can Only Confirm EOD On Monday.
Posts Were Moved By Me Because I Thought We Were Through With The Q&A On The Subject...There Is No Problem Posting Queries In The Futures Thread.[/COLOR]
Happy & Safer Trading
SavantGarde
Savantda
Thanks a lot for the clarifications....it sometime amazes me how can some one so patiently clarifies and help others selflessly like you and that too in todays world ..... keep up the good work sir
Have been patiently following your triggers for quite sometime now....for me the stars have been IDFC, HCC & RNRL.....will also watch out for your confirmation on federal bank
Thanks for the Margin links.
Lets say , someone wants to buy 1 lot of Aban , so how mch does he need to pay right at the time of buying , the span margin only of 20.09% or the span margin+exposure margin ?
Thank you.
While Exposure For The Month Is Declared In Advance By The Exchanges & Does Not Change Through The Whole Series, While Span Percentage Changes Based On Volatility.
Thanks for the Margin links.
Lets say , someone wants to buy 1 lot of Aban , so how mch does he need to pay right at the time of buying , the span margin only of 20.09% or the span margin+exposure margin ?
Thank you.