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F&O combine trade ~ Welgro
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Author F&O combine trade ~ Welgro
welgro
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Joined: 24 Sep 2012
Posts: 1784

Post: #16   PostPosted: Fri Jun 06, 2014 11:17 am    Post subject: Reply with quote

Trade Number : 5

Buy kotakbank future 1 lot + Buy kotakbank 880 call option 1 lot + Buy kotakbank 880 put option 1 lot.

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Hydrogen
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Joined: 18 Feb 2014
Posts: 87

Post: #17   PostPosted: Fri Jun 06, 2014 11:41 am    Post subject: Reply with quote

Welgro, I did not understood the logic behind your strategy.
Buying Future and then also Straddle. Even though it is proftable, it is going out of my ahead...

Can you explain why you are using straddle.
You could have used Long Future and Long Put, to save your self if you are wrong ?

Just curious to know your logic behind.
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mikky
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Joined: 16 Feb 2014
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Post: #18   PostPosted: Fri Jun 06, 2014 4:05 pm    Post subject: Reply with quote

Hydrogen wrote:
Welgro, I did not understood the logic behind your strategy.
Buying Future and then also Straddle. Even though it is proftable, it is going out of my ahead...

Can you explain why you are using straddle.
You could have used Long Future and Long Put, to save your self if you are wrong ?

Just curious to know your logic behind.


Yes, that is what not clear to me as well.

If trade went against intended direction loss is more due Future and CALL or Future and PUT in same direction.
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Vevensa
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Joined: 12 Jul 2011
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Post: #19   PostPosted: Fri Jun 06, 2014 5:08 pm    Post subject: Reply with quote

mikky wrote:
Hydrogen wrote:
Welgro, I did not understood the logic behind your strategy.
Buying Future and then also Straddle. Even though it is proftable, it is going out of my ahead...

Can you explain why you are using straddle.
You could have used Long Future and Long Put, to save your self if you are wrong ?

Just curious to know your logic behind.


Yes, that is what not clear to me as well.

If trade went against intended direction loss is more due Future and CALL or Future and PUT in same direction.

In the past, probably in 2013, Welgro posted here many successful trades using this strategy.
Takes two positions(say long Futures + long call) in the expected direction of the market and a hedge(long put). When the market moves as expected and the premium of positional option(say long call) trades at total premium of call+put , it will be sold. Now the hedge is free. As I understand, It is betting for free hedge with some additional risk.
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amitagg76
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Joined: 31 May 2014
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Post: #20   PostPosted: Fri Jun 06, 2014 5:10 pm    Post subject: Reply with quote

It helps avoid stop losses and whip saws in swing trades and for me works well in opening days of new expiry.........when either call or out doubles....the same can be exited......and thus there is zero cost of future trade.......that is automatic stop loss without bothering price going below the stop loss level and then rising......
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welgro
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Joined: 24 Sep 2012
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Post: #21   PostPosted: Fri Jun 06, 2014 5:46 pm    Post subject: Reply with quote

Dear all ,

just wait some calls or some times i will update more details in this thread.each on every updates with proof.so wait and watch every update,then only one can understand my trading style..
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sambhaji_t
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Post: #22   PostPosted: Fri Jun 06, 2014 6:55 pm    Post subject: Reply with quote

Rolling Eyes Rolling Eyes Rolling Eyes
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welgro
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Post: #23   PostPosted: Mon Jun 09, 2014 9:59 am    Post subject: Reply with quote

Trade Number : 6

Buy tcs future 1 lot + Buy tcs 2100 call option 1 lot + Buy tcs 2100 put option 1 lot.

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welgro
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Joined: 24 Sep 2012
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Post: #24   PostPosted: Mon Jun 09, 2014 11:21 am    Post subject: Reply with quote

welgro wrote:
Trade Number : 5

Buy kotakbank future 1 lot + Buy kotakbank 880 call option 1 lot + Buy kotakbank 880 put option 1 lot.



Kotakbank 880 call option exited at 43.00.

Now holding kotakbank future long + kotakbank 880 put option ..Each 1 lot.

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welgro
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Joined: 24 Sep 2012
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Post: #25   PostPosted: Mon Jun 09, 2014 11:30 am    Post subject: Reply with quote

Trade Number : 7

Buy itc future 1 lot + Buy itc 340 call option 1 lot + Buy itc 340 put option 1 lot.

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welgro
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Joined: 24 Sep 2012
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Post: #26   PostPosted: Mon Jun 09, 2014 11:56 am    Post subject: Reply with quote

welgro wrote:
welgro wrote:
Trade Number : 2

Buy coalindia future 1 lot + Buy coalindia 390 call option 1 lot + Buy coalindia 390 put option 1 lot.



Hold this three open positions still my next update.


I am Exit coalindia positions at :-




Trade Net result + 3650



NOW MADE HIGH 416.30...Missed the opportunity …Wrong decision Mad ….Bad luck.
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welgro
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Post: #27   PostPosted: Tue Jun 10, 2014 9:42 am    Post subject: Reply with quote

welgro wrote:
Trade Number : 4

Buy lupin future 1 lot + Buy lupin 940 call option 1 lot + Buy lupin 940 put option 1 lot.



lupin 940 call option exited at 50.00.

Now holding lupin future long + lupin 940 put option ..Each 1 lot.

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welgro
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Joined: 24 Sep 2012
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Post: #28   PostPosted: Tue Jun 10, 2014 9:58 am    Post subject: Reply with quote

welgro wrote:
welgro wrote:
Trade Number : 5

Buy kotakbank future 1 lot + Buy kotakbank 880 call option 1 lot + Buy kotakbank 880 put option 1 lot.



Kotakbank 880 call option exited at 43.00.

Now holding kotakbank future long + kotakbank 880 put option ..Each 1 lot.



Kotakbank future placed stoploss at : 879.80.Once triggered i will exit my 880 put option position too.
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welgro
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Post: #29   PostPosted: Tue Jun 10, 2014 10:00 am    Post subject: Reply with quote

welgro wrote:
Trade Number : 7

Buy itc future 1 lot + Buy itc 340 call option 1 lot + Buy itc 340 put option 1 lot.




Itc future placed stoploss 335.00.Once triggered i will exit all the open positions in itc.
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welgro
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Joined: 24 Sep 2012
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Post: #30   PostPosted: Tue Jun 10, 2014 10:18 am    Post subject: Reply with quote

Trade No : 8

short relcapital future 1 lot + Buy relcapital 640 call option 1 lot + Buy relcapital 640 put option 1 lot.

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