Positional View for all Nifty 50 stocks for 28 Dec 2020Performance Report from 28 OCTOBER to DECEMBER 22 2020
================================================================
drive.google.com
ADANIPORTS - Current Position is Buy, bought on 22-DEC-2020 at 446.86. Action for Next Trading Day: Continue LONG and reverse to SHORT if ADANIPORTS closes below 468.73
ASIANPAINT - Current Position is Buy, bought on 22-DEC-2020 at 2560.46. Action for Next Trading Day: Continue LONG and reverse to SHORT if ASIANPAINT closes below 2620.27
AXISBANK - Current Position is Buy, bought on 22-DEC-2020 at 585.66. Action for Next Trading Day: Continue LONG and reverse to SHORT if AXISBANK closes below 600.49
BAJAJ-AUTO - Current Position is Buy, bought on 22-DEC-2020 at 3264.78. Action for Next Trading Day: Continue LONG and reverse to SHORT if BAJAJ-AUTO closes below 3324.56
BAJAJFINSV - Current Position is Sell, sold on 21-DEC-2020 at 9120.72. Action for Next Trading Day: Continue SHORT and reverse to LONG if BAJAJFINSV closes above 9090.46
BAJFINANCE - Current Position is Buy, bought on 23-DEC-2020 at 5071.16. Action for Next Trading Day: Continue LONG and reverse to SHORT if BAJFINANCE closes below 5114.75
BHARTIARTL - Current Position is Buy, bought on 22-DEC-2020 at 496.34. Action for Next Trading Day: Continue LONG and reverse to SHORT if BHARTIARTL closes below 510.37
BPCL - Current Position is Buy, bought on 22-DEC-2020 at 371.96. Action for Next Trading Day: Continue LONG and reverse to SHORT if BPCL closes below 370.48
BRITANNIA - Current Position is Buy, bought on 22-DEC-2020 at 3634.91. Action for Next Trading Day: Continue LONG and reverse to SHORT if BRITANNIA closes below 3597.78
CIPLA - Current Position is Buy, bought on 22-DEC-2020 at 783.36. Action for Next Trading Day: Continue LONG and reverse to SHORT if CIPLA closes below 824.71
COALINDIA - Current Position is Buy, bought on 22-DEC-2020 at 134.30. Action for Next Trading Day: Continue LONG and reverse to SHORT if COALINDIA closes below 133.85
DIVISLAB - Current Position is Buy, bought on 22-DEC-2020 at 3692.59. Action for Next Trading Day: Continue LONG and reverse to SHORT if DIVISLAB closes below 3707.18
DRREDDY - Current Position is Buy, bought on 22-DEC-2020 at 5118.10. Action for Next Trading Day: Continue LONG and reverse to SHORT if DRREDDY closes below 5140.08
EICHERMOT - Current Position is Buy, bought on 22-DEC-2020 at 2428.46. Action for Next Trading Day: Continue LONG and reverse to SHORT if EICHERMOT closes below 2415.49
GAIL - Current Position is Buy, bought on 22-DEC-2020 at 116.90. Action for Next Trading Day: Continue LONG and reverse to SHORT if GAIL closes below 117.64
GRASIM - Current Position is Buy, bought on 22-DEC-2020 at 879.61. Action for Next Trading Day: Continue LONG and reverse to SHORT if GRASIM closes below 889.58
HCLTECH - Current Position is Buy, bought on 22-DEC-2020 at 879.15. Action for Next Trading Day: Continue LONG and reverse to SHORT if HCLTECH closes below 904.93
HDFC - Current Position is Buy, bought on 24-DEC-2020 at 2429.50. Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFC closes below 2432.08
HDFCBANK - Current Position is Buy, bought on 24-DEC-2020 at 1391.68. Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFCBANK closes below 1383.40
HDFCLIFE - Current Position is Buy, bought on 22-DEC-2020 at 634.32. Action for Next Trading Day: Continue LONG and reverse to SHORT if HDFCLIFE closes below 649.28
HEROMOTOCO - Current Position is Buy, bought on 22-DEC-2020 at 3029.11. Action for Next Trading Day: Continue LONG and reverse to SHORT if HEROMOTOCO closes below 3036.09
HINDALCO - Current Position is Buy, bought on 23-DEC-2020 at 236.29. Action for Next Trading Day: Continue LONG and reverse to SHORT if HINDALCO closes below 232.63
HINDUNILVR - Current Position is Buy, bought on 23-DEC-2020 at 2322.73. Action for Next Trading Day: Continue LONG and reverse to SHORT if HINDUNILVR closes below 2373.32
ICICIBANK - Current Position is Buy, bought on 22-DEC-2020 at 498.21. Action for Next Trading Day: Continue LONG and reverse to SHORT if ICICIBANK closes below 506.68
INDUSINDBK - Current Position is Buy, bought on 23-DEC-2020 at 857.97. Action for Next Trading Day: Continue LONG and reverse to SHORT if INDUSINDBK closes below 832.29
INFY - Current Position is Buy, bought on 22-DEC-2020 at 1182.00. Action for Next Trading Day: Continue LONG and reverse to SHORT if INFY closes below 1221.80
IOC - Current Position is Buy, bought on 24-DEC-2020 at 89.81. Action for Next Trading Day: Continue LONG and reverse to SHORT if IOC closes below 88.49
ITC - Current Position is Buy, bought on 23-DEC-2020 at 207.21. Action for Next Trading Day: Continue LONG and reverse to SHORT if ITC closes below 205.11
JSWSTEEL - Current Position is Buy, bought on 22-DEC-2020 at 354.62. Action for Next Trading Day: Continue LONG and reverse to SHORT if JSWSTEEL closes below 362.41
KOTAKBANK - Current Position is Buy, bought on 23-DEC-2020 at 1910.39. Action for Next Trading Day: Continue LONG and reverse to SHORT if KOTAKBANK closes below 1944.54
LT - Current Position is Buy, bought on 22-DEC-2020 at 1245.66. Action for Next Trading Day: Continue LONG and reverse to SHORT if LT closes below 1251.49
M&M - Current Position is Buy, bought on 22-DEC-2020 at 692.89. Action for Next Trading Day: Continue LONG and reverse to SHORT if M&M closes below 697.33
MARUTI - Current Position is Sell, sold on 17-DEC-2020 at 7750.51. Action for Next Trading Day: Continue SHORT and reverse to LONG if MARUTI closes above 7508.14
NESTLEIND - Current Position is Sell, sold on 24-DEC-2020 at 18591.27. Action for Next Trading Day: Continue SHORT and reverse to LONG if NESTLEIND closes above 18711.59
NTPC - Current Position is Buy, bought on 22-DEC-2020 at 98.53. Action for Next Trading Day: Continue LONG and reverse to SHORT if NTPC closes below 98.36
ONGC - Current Position is Sell, sold on 21-DEC-2020 at 97.83. Action for Next Trading Day: Continue SHORT and reverse to LONG if ONGC closes above 95.28
POWERGRID - Current Position is Buy, bought on 22-DEC-2020 at 187.59. Action for Next Trading Day: Continue LONG and reverse to SHORT if POWERGRID closes below 187.80
RELIANCE - Current Position is Buy, bought on 24-DEC-2020 at 1962.15. Action for Next Trading Day: Continue LONG and reverse to SHORT if RELIANCE closes below 1974.16
SBILIFE - Current Position is Buy, bought on 22-DEC-2020 at 846.00. Action for Next Trading Day: Continue LONG and reverse to SHORT if SBILIFE closes below 866.42
SBIN - Current Position is Buy, bought on 23-DEC-2020 at 261.26. Action for Next Trading Day: Continue LONG and reverse to SHORT if SBIN closes below 262.30
SHREECEM - Current Position is Sell, sold on 21-DEC-2020 at 24515.29. Action for Next Trading Day: Continue SHORT and reverse to LONG if SHREECEM closes above 23997.91
SUNPHARMA - Current Position is Buy, bought on 22-DEC-2020 at 555.89. Action for Next Trading Day: Continue LONG and reverse to SHORT if SUNPHARMA closes below 584.31
TATAMOTORS - Current Position is Buy, bought on 23-DEC-2020 at 168.91. Action for Next Trading Day: Continue LONG and reverse to SHORT if TATAMOTORS closes below 171.36
TATASTEEL - Current Position is Buy, bought on 23-DEC-2020 at 608.84. Action for Next Trading Day: Continue LONG and reverse to SHORT if TATASTEEL closes below 611.97
TCS - Current Position is Buy, bought on 22-DEC-2020 at 2834.00. Action for Next Trading Day: Continue LONG and reverse to SHORT if TCS closes below 2889.42
TECHM - Current Position is Buy, bought on 22-DEC-2020 at 911.17. Action for Next Trading Day: Continue LONG and reverse to SHORT if TECHM closes below 932.96
TITAN - Current Position is Buy, bought on 22-DEC-2020 at 1483.22. Action for Next Trading Day: Continue LONG and reverse to SHORT if TITAN closes below 1480.93
ULTRACEMCO - Current Position is Sell, sold on 18-DEC-2020 at 5139.25. Action for Next Trading Day: Continue SHORT and reverse to LONG if ULTRACEMCO closes above 5075.90
UPL - Current Position is Buy, bought on 22-DEC-2020 at 441.05. Action for Next Trading Day: Continue LONG and reverse to SHORT if UPL closes below 442.35
WIPRO - Current Position is Buy, bought on 22-DEC-2020 at 355.85. Action for Next Trading Day: Continue LONG and reverse to SHORT if WIPRO closes below 375.32
Mechanicaltradingsystem
NIFTY Positional View for 07/09/2020Current position is SHORT on September-4-2020 at 11462
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Action for 7 September 2020: Continue to hold SHORT and reverse to Long if NIFTY closes above 11468
All Values are for September 2020 Future
Profit as of now 86 points.
If on September 7 2020 Nifty "opens" above 11410 is weaker down trend while below 11340 is strong down trend.
Trade as per your risk profile and use these for educational purpose. These numbers are for Swing trading only .
Guys if you have made any trade based on my ideas i would expect you give me a like as it takes good amount of time and effort to put these numbers up daily.
If there are no much likes i will shift to weekly ideas only.
NSE:NIFTY
Past Performance :
All these trades are given in this portal which you can verify easily.
15 trades - 3 losses 12 profit trades. 80 % success rate for last 2+ months. 2159 Points earned in 2 months.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY : Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
10. SELL: Profit of 96 Points (12th August to 17th August 2020)
11. BUY : Profit of 127 Points(17th August to 20th August 2020)
12. SELL: Loss of 23 points ( 20th August to 21st August 2020).
13. BUY : Profit of 271 Points(21st August to 31st August 2020).
14. SELL: Profit of 208 Points (31st August to 1st September 2020).
15. BUY : Profit of 24 points (1st September to 4th September).
Current open SELL position
NIFTY Positional View for 03/09/2020Current position is LONG on September-1-2020 at 11438
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Action for 3 September 2020: Continue to hold LONG and reverse to Short if NIFTY closes below 11476
All Values are for September 2020 Future
Profit as of now 126 points
If September 3 2020 Nifty "opens" below 11510 is weaker trend and advised to book partial profits quickly (September 4th is possible trend change date).
Trade as per your risk profile and use these for educational purpose. These numbers are for Swing trading only .
NSE:NIFTY
Past Performance :
All these trades are given in this portal which you can verify easily.
2 months 13 trades - 3 losses 11 profit trades. 78.57 % success rate for last 2 months. 2135 Points earned in 2 months.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY : Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
10. SELL: Profit of 96 Points (12th August to 17th August 2020)
11. BUY : Profit of 127 Points(17th August to 20th August 2020)
12. SELL: Loss of 23 points ( 20th August to 21st August 2020).
13. BUY : Profit of 271 Points(21st August to 31st August 2020).
14. SELL: Profit of 208 Points (31st August to 1st September 2020).
Current open BUY position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm ( KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
NIFTY Positional View for 31st August 2020Current position is LONG on August-21-2020 at 11375
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Action for 31 August 2020: Continue to hold LONG and reverse to Short if NIFTY closes below 11646
All Values are for September 2020 Future
Profit as of now 308 points
Trade as per your risk profile and use these for educational purpose. These numbers are for Swing trading only .
NSE:NIFTY
Past Performance :
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY : Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
10. SELL: Profit of 96 Points (12th August to 17th August 2020)
11. BUY : Profit of 127 Points(17th August to 20th August 2020)
12. SELL: Loss of 23 points ( 20th August to 21st August 2020).
Current open BUY position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
BANKNIFTY Positional View for 31 August 2020Current position is Long bought on August-21-2020 at 22149
=====================================================================
Action for 31 August 2020: Continue to hold Long and reverse to Short if BANK NIFTY closes below 24324
NSE:BANKNIFTY
All Values are for September 2020 Future
Profit as of now 2471 points.
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading only .
Past Performance :
1. Sell : 185 Points ( 14th August -18th August 2020).
2. Buy : 123 Points (18thAugust - 20th August 2020).
3. Sell : Loss of 89 Points( 20th August to 21st August).
BANKNIFTY Positional View for 26th August 2020Current position is Long bought on August-21-2020 at 22149
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Action for 26th August 2020: Continue to hold Long and reverse to Short if BANK NIFTY closes below 22895
BANKNIFTY
All Values are for August 2020 Future
Profit as of now 941 points.
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading only .
Past Performance :
1. Sell : 185 Points ( 14th August -18th August 2020).
2. Buy : 123 Points (18thAugust - 20th August 2020).
3. Sell : Loss of 89 Points( 20th August to 21st August).
Bank Nifty Positional View for 24th August 2020Current position is Long bought on August-21-2020 at 22149 (best possible price since 22102 was not available)
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Action for 24th August 2020: Continue to hold Long and reverse to Short if BANK NIFTY closes above 22139
NSE:BANKNIFTY
All Values are for August 2020 Future
Profit as of now 158 points.
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading only .
Past Performance :
1. Sell : 185 Points ( 14th August -18th August 2020).
2. Buy : 123 Points (18thAugust - 20th August 2020).
3. Sell : Loss of 89 Points( 20th August to 21st August).
BANKNIFTY Positional View for 21 August 2020Current position is SHORT sold on August-20-2020 at 22060 (best possible price since 22145 was not available)
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Action for 21st August 2020: Continue to hold short and reverse to LONG if BANK NIFTY closes above 22102
NSE:BANKNIFTY
All Values are for August 2020 Future
Profit as of now 145 points.
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading trading only .
Past Performance :
1. Sell : 185 Points ( 14th August -18th August 2020).
2. Buy : 123 Points (18thAugust - 20th August 2020).
Open SELL Position
Nifty Positional View for 20th August 2020Current position is BUY bought on August-17-2020 at 11224
=====================================================================
Action for 20th August 2020: Continue to hold Long and reverse to short if NIFTY closes below 11379
All Values are for August 2020 Future
Profit as of now 203 points
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading trading only .
Intra-day Trend change timings for 20th August : 9:30,10:27,11:38,12:43,13:46,14:48
Advise : Book partial profits 19th or 20th August as 21st is high probable trend change day but levels can be watched closely .
Past Performance :
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY: Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
10. SELL: Profit of 96 Points (12th August to 17th August 2020)
Current open BUY position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
BANKNIFTY Positional View for 20th August 2020Current position is BUY bought on August-18-2020 at 21936
=====================================================================
Action for 20th August 2020: Continue to hold long and reverse to short if BANK NIFTY closes below 22145
NSE:BANKNIFTY
All Values are for August 2020 Future
Profit as of now 376 points.
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading trading only .
Will post past performance document (last 5 years back testing) in my twitter .
Past Performance :
1. Sell : 185 Points ( 14th August -18th August 2020).
Open BUY Position
Nifty Positional View for 18th August 2020Current position is BUY bought on August-17-2020 at 11224
=====================================================================
Action for 18th August 2020: Continue to hold Long and reverse to short if NIFTY closes below 11239
All Values are for August 2020 Future
Profit as of now 56 points
Trade as per your risk profile and use these for educational purpose.
These numbers are for Swing trading trading only .
Past Performance :
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY: Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
10. SELL: Profit of 96 Points (12th August to 17th August 2020)
Current open BUY position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
Nifty Positional View for 17th August 2020Current position is SHORT sold on August-12-2020 at 11320
=====================================================================
Action for 17th August 2020: Continue to hold short and reverse to long if NIFTY closes above 11224
All Values are for August 2020 Future
Profit as of now 133 points
NSE:NIFTY
Trade as per your risk profile and use these for educational purpose.
Use a Heikin Ashi Chart and 1 min chart for Intra-day Trading. These numbers are for Swing trading trading only .
Past Performance : 1396 Points earned in 41 Calendar days. 2 loss trades and 7 winning trades.
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY: Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
Current open SELL position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
Nifty Positional View for 14th August 2020Current position is SHORT sold on August-12-2020 at 11320
=====================================================================
Action for 14th August 2020: Continue to hold short and reverse to long if NIFTY closes above 11345
All Values are for August 2020 Future
Loss as of now -3 points
NSE:NIFTY
Trade as per your risk profile and use these for educational purpose.
Use a Heikin Ashi Chart and 1 min chart for Intra-day Trading. These numbers are for Swing trading trading only .
Past Performance : 1396 Points earned in 41 Calendar days. 2 loss trades and 7 winning trades.
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY: Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
9. BUY : Profit of 333 Points(4th August to 12th August 2020).
Current open SELL position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
Nifty Positional View for 7th August 2020Current position is BUY bought on August-4-2020 at 10987
==================================================================================
Action for 7th August 2020: Continue to hold Long and reverse to short if NIFTY closes below 11145
Profit as of now 225 points
If you have done trading (paper or actual) based on my ideas and made a profit indicate me by a like or comment your experience.
These is a lot of research behind this algorithm which learns each day and fine tuned weekly.
NSE:NIFTY
Use a Heikin Ashi Chart and 1 min chart for Intra-day Trading. These numbers are for Swing trading trading only .
Past Performance : 1063 Points earned in 35 Calendar days. 2 loss trades and 6 winning trades.
All these trades are given in this portal which you can verify easily.
===================
1. BUY : Profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
4. SELL: Profit of 30 points (10th July to 17th July )
5. BUY: Profit of 418 Points (17th July to 27th July).
6. SELL: Loss of 43 points (27th July to 28th July).
7. BUY : Profit of 86 points (28th July to 29th July).
8. SELL: Profit of 262 Points(29th July to 4th August 2020)
Current open BUY position
Process : These swing numbers are calculated using Customized Volatility and AI algorithm (KNN Model).
=========
Some Rules in trading system.
===================================
1. Take all trades and the numbers to hold are the last traded price of NIFTY future and not calculated close values.
2. Do not change Lot size very frequently and try to keep it constant.
3. We win 68-75% times only (changing lots will leads to losses as you may have bigger lots for loss trades and smaller one for gain trades) .
4. There are losses as well but the loss points will be smaller then gain over a period of 3 months or less.
5. Book profits at key levels (just a histogram of 2 years close will give numbers where nifty stayed for long duration.Frequency Distribution)
NIFTY Positional VIEW for JULY 14 2020Current position is SELL sold on 10 JULY 2020. @ 10781.57
for July 14 2020 Continue to hold SHORT and reverse to BUY if NIFTY closes above 10859.86
Loss as of now 32 points
NSE:NIFTY
Last 3 position performance
1. BUY : With a profit of 386 points (1st July to 8th July 2020).
2. SELL: Loss of 54 points (8th JULY to 9th July).
3. BUY : Profit of 38 Points ( 9th July to 10th July).
Current open SELL position
These are NIFTY JULY FUTURE values and NOT Spot. NSE:NIFTY NSE:NIFTY