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F&O stocks and Index
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1021   PostPosted: Wed Jul 09, 2014 9:29 am    Post subject: Reply with quote

mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1022   PostPosted: Wed Jul 09, 2014 9:33 am    Post subject: Reply with quote

mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1023   PostPosted: Wed Jul 09, 2014 1:35 pm    Post subject: Reply with quote

mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.
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manojrp
White Belt
White Belt


Joined: 14 Mar 2012
Posts: 432

Post: #1024   PostPosted: Wed Jul 09, 2014 1:37 pm    Post subject: Reply with quote

mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1025   PostPosted: Wed Jul 09, 2014 1:52 pm    Post subject: Reply with quote

manojrp wrote:
mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow


some good holding from my side as well. (Avg price is 174)
expecting 200 points move on either side by Friday or next week.
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1026   PostPosted: Wed Jul 09, 2014 9:04 pm    Post subject: Reply with quote

NIFTY continued its down move on profit booking before big event. BANK NIFTY stays flat.

CALL and PUT data suggests trading range for NIFTY 7500 - 7800. If NIFTY breaks 7500 then deeper correction is possible but as per current data upside looks limited.

FII Activity:
Cash Segment:
FII: + 422 Crores
DII: - 399 Crores
Derivative Segment:
IDEX FUTURES: - 549 Crores
INDEX OPTIONS: +1077 Crores
STOCK FUTURES: + 266 Crores
STOCK OPTIONS: + 1.35 Crores

OPTION Front:
NIFTY CALL writing @7700 and 7800 level.
NIFTY PUTS Long Unwinding @7500, 7700 and 7800 level.

Let's see how tomorrows event pan out.
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marimuthu13
White Belt
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Joined: 30 Aug 2011
Posts: 212

Post: #1027   PostPosted: Thu Jul 10, 2014 10:50 am    Post subject: Reply with quote

pin drop silent aghead of big (???) event
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veerappan
Expert
Expert


Joined: 19 Dec 2007
Posts: 3680

Post: #1028   PostPosted: Thu Jul 10, 2014 11:03 am    Post subject: Reply with quote

y pin drop ... final drop may be... or starting of drop may be....


if and only if 7777 above closes nifty fut then only real bull one more rally towards 8500 ranges... otherwise market may test 7ooo and 6666 of magic fig

veeru
tamilnadu.
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mikky
Green Belt
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Joined: 16 Feb 2014
Posts: 1442

Post: #1029   PostPosted: Thu Jul 10, 2014 11:57 am    Post subject: Reply with quote

5 min. strategic break to arrest market fall.... Smile
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mikky
Green Belt
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Joined: 16 Feb 2014
Posts: 1442

Post: #1030   PostPosted: Thu Jul 10, 2014 12:23 pm    Post subject: Reply with quote

mikky wrote:
5 min. strategic break to arrest market fall.... Smile


That's how big players make a big kill
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amitagg
Black Belt
Black Belt


Joined: 01 Oct 2013
Posts: 4559

Post: #1031   PostPosted: Thu Jul 10, 2014 12:33 pm    Post subject: Reply with quote

mikky wrote:
manojrp wrote:
mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow


some good holding from my side as well. (Avg price is 174)
expecting 200 points move on either side by Friday or next week.


Holding this? All calls puts down and 8000 call at rs 10.... Who wants to buy now? Or climax yet to come..... May be.... Hold on
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1032   PostPosted: Thu Jul 10, 2014 1:13 pm    Post subject: Reply with quote

amitagg wrote:
mikky wrote:
manojrp wrote:
mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.


BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow


some good holding from my side as well. (Avg price is 174)
expecting 200 points move on either side by Friday or next week.


Holding this? All calls puts down and 8000 call at rs 10.... Who wants to buy now? Or climax yet to come..... May be.... Hold on


Yes, still Holding
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1033   PostPosted: Thu Jul 10, 2014 1:30 pm    Post subject: Reply with quote

mikky wrote:
mikky wrote:
5 min. strategic break to arrest market fall.... Smile


That's how big players make a big kill


We are on track but got intuition that 5 min. break will reverse the mode.
We should have exited the 7500 PUT at that point. Grrrrr....
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1034   PostPosted: Thu Jul 10, 2014 2:49 pm    Post subject: Reply with quote

mikky wrote:
manojrp wrote:
mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.



BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow


some good holding from my side as well. (Avg price is 174)
expecting 200 points move on either side by Friday or next week.


Exit from strategy in case it breaks 100
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mikky
Green Belt
Green Belt


Joined: 16 Feb 2014
Posts: 1442

Post: #1035   PostPosted: Thu Jul 10, 2014 2:51 pm    Post subject: Reply with quote

mikky wrote:
mikky wrote:
manojrp wrote:
mikky wrote:
mikky wrote:
mikky wrote:
mikky wrote:
BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180


Why are we taking this trade?

Looking at volatility, number days from expiry and event like budget and results. Whichever direction NIFTY moves, it will be profitable.

Rule: If pair trade is taken then close it in pair as well.

To see whether in profit or loss, add premium of both options.



BUY NIFTY 7500 PE AND NIFTY 7800 CE @CMP

Combined Premium = 170-180

Target = 220-235-250
STOP LOSS = 145


Market is getting ready for tomorrow's event. Hold it even if it closed around 145. We may see big 1 side move in couple of days.


ok mikky i am holding 2 lots of each lets see tomorrow


some good holding from my side as well. (Avg price is 174)
expecting 200 points move on either side by Friday or next week.


Exit from strategy in case it breaks 100


Exit from strategy in case it breaks 100
or
EXIT from PUT and HOLD CALL with Stop Loss of 50
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