Hello , No Naked futures or options trade. Let's wait till 3.15 , Don't enter the trade right away , Today it must be red candle ,Price should close around 1287i.e towards days low (below 1287 would be ideal) Simple strategy : 1)Buy 1300 JAN put , sell 1260 Jan put (stop loss will be close above today's candle if today is...
Hi All , Nice weekly Bull candle, Nice trendline support wait till EOD tomorrow: Simple strategy (If close is around 2600 Tomorrow): 1) Buy 2600 call (currently 20 rs) , Sell 2650 call (currently 6 rs) ---- Risk 14 rs per lot i.e 3500rs If close is not around 2600-2610 tomorrow than will update this after looking at option price around 3 pm. Don't...
Hi All , Maruti is heavily overbought on daily , But can't predict when will it turn around ,Maybe 10k psychological price point No Naked shorting or Long: Use following Futures and options strategy: 1) Buy Jan futures 1 lot , sell Feb futures 1 lot ( On pull back to moving average observe pattern and exit short , continue long) 2) wait patiently...
Hi , refer chart. No naked trade. Use strategy Buy 1700 call , Buy 1700 put . Buy 1700 call , sell 1850 call . Buy Dec future , sell 1700 call. Lot size is 500 , Manage risk : This stock has high movements (around 80-100 rs), so even lot size is less ,big price movement gives high risk. Don't over...
Let's bring home money folks , You can execute the trade on Friday or Tomorrow. Refer chart : classic Text Book pattern. No Naked trades , Use strategy : 1) Buy 600 Dec calls , sell 620 Dec calls --- My preference. 2) Buy Dec future , Sell 600 Dec call 3) Sell Dec 600 Put , Buy 560 Put 4) Buy 2 lot 600 call , Buy 1 lot 580 put check what strategy suits you...
Refer chart : classic Text Book pattern. No Naked trades , Use strategy : 1) Buy 230 Dec calls , sell 250 Dec calls --- My preference. 2) Buy Dec future , Sell 230 Dec call 3) Sell Dec 240 or 250 Put , Buy 220 Put 4) Buy 2 lot 230 call , Buy 1 lot 230 put check what strategy suits you ,And execute your trade . Beware lot size is 3500 , so risk is high , manage...
Namaskaram ALL , Everything on charts. P.S : Consult your financial adviser before making any investment.
Hi All , Continued from previous post.... Nifty didn't trigger the last leg as expected. Below 9560 lower top , lower bottom formation after very long time. Stay cautious on long (reduce position size) or don't take longs. Nifty won't care for indicators or harmonics. It will be furious and It will show...
Hi All , Every thing on chart , Just observations. watch out for stop loss candle , very tricky , takes every long out. Watch for furious upmove to 9700 tomorrow , 8 days of fall will be covered in just 2 days that should be the clue. Thanks P.S: Please Consult your financial adviser before investing , Capital risk involved.
Hi All , Everything on chart Its just few observations from my end , Don't know Elliot or Neo wave much. Elliot and Neo wave champs please comment. Just for study purpose , Please consult your financial adviser before taking investing decision. Thanks.
Hi , All the post are on trading /technical analysis. So thought of putting something on risk management . What is Risk Management ? Now don't look blank, if your in markets you have to know about it. Does every trade has risk and Is quantum of profit assured ? Yes every trade comes with risk and no assurance of profit. How much risk can you take ? ...
Hi All , Putting up a modified pitchfork(PF) on NIFTY weekly chart. In Modified PF you move the starting anchor point to midpoint of 1st and 2nd pivot point. You keep the 3rd anchor point as it is. so co-ordinates of point a=2252.75 b=6338.5 A=4295.6
Hi All , Everything on chart . No Naked Futures or call : Strategy : Buy Futures and 1720 puts , Buy 1740 call and sell 1780 call (my choice) Buy 1720 call (3 lots) and buy 1720 put(1 lot) (put /call ratio your choice , keep it tilted on call side) Lets Engineer Money . Note : Consult your financial risk adviser ,Risk of capital loss, paper trade or...
Hi All , Once upon a time : Someone senior I know took position in Max Financial Services Futures around 570 . After the market closed there was announcement a bulk deal will happen next day at price of 510. Can you imagine the trap ? Next day it opened around 515 around which bulk deal happened , The stock rose up till 530 that day and started...
Hi All , Once upon a time on 16 th March 2017 "Mr Ram Nene bought coal india long strangle , ie. Buy 290 call at 6.75 and Buy 290 put at 2.75" , The spot price was around 289 level. Next 3-4 days price went up 4-5 bucks around 296 , call option premium was nicely trading at 7 Rs and suddenly the premium on options dropped by 3 Rs , even though spot price...
Hi All , Once upon a time last year. "Mr.Ram Nene had bought Hindustan zinc put options strike price of 191 Rs and 186 Rs at premium of 9rs and 7rs" , Huge position was created This activity was carried out 2 days before the record date of 25 Rs dividend payment by Hindustan zinc , The spot price of stock was trading around 190-192 range. On record...
Hi All , Everything on chart. Minimum Target 435 No Naked Futures / Calls 3 strategy : Buy April futures , Buy April 420 PUT Buy April 420 calls , Sell april 440 or 430 calls Buy April 420 calls 2 lots , Buy april 420 put 1 lot (Put /call combination as per ur chooice). Note : Consult your financial adviser before investing ,...
Hi All , Putting up some alternatives on nifty . Most important fact to be consider for the above alternatives is PUT / CALL Open interest . 9100 Put And 9200 Call OI interest are around 52-55 lakh. 1) Head and Shoulder formation (As shown on chart) 2) Running flat : Assumption A leg started on 28 march green candle with low 9079.8, Currently B leg move down...