Weekly trading diary : 23rd Feb - 1st March 2018 - Updated Thread

Bro its a wise decision to square off puts at profit. I think as option data suggesting nifty will try to break 300 level in the day … If success then expiry near 200 or below 300 is possible. Fresh call writing initiated at 300 350 strike . hoping that selling will continue tomorrow also . but due to expiry day after tomorrow nifty shows some sudden spikes to eat premium … :slight_smile:

Thanks …hope tomorrow come out with green. Today I dipped top to bottom in red …This month profit gone …:expressionless:

If you don’t mind,Can you please share how much is your total ROI per day and risk appetite ?
This might help me improving my strategy :slight_smile:

asian mkts open lower. expiry surely gonna be a blockbuster movie. show starting today.

In Out of 1113 profit, Only got 115 , rest amount deducted into multiple types of tax… :slight_smile: :smile:

stock to trade intraday

20022018%20INTRASTOCK

Did just one transaction… so could keep 900 out of 1150 profit. Rest gone to tax. Brokers and gov make money either way !

Pre open market fully in green.

It will come crashing down in seconds.

Yes Bro, In BO , we are bokoing small small profit which finally flushed into TAX :smile:

Inter currency spread call(10 lots): Buy USDINR at 64.92 Sell JPYINR at 60.25 SL spread 4000 Tgt spread 4000-6000

Intraday Call: BUY PVR @ 1418.00 SL 1403 TGT 1448

Quick Trade…
Even it go down to hit my desired BO limit, but exit before.

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I also took same position today… :slight_smile: with 2 lots…
How many lots did you took ? :slight_smile:

What;s your thought on NIFTY ?
Are we going to see today 10300 level or not ?

Any view on TATAMTRDVR for month or 2 as its near a support zone.

Already broke and traded below S1 [Pivot Chart] and Seller looks dominating.

@VelmuruganSengottai

Yesterday from ratio spread strategy I made a small profit of 3k. I am trying similar thing now. But I am not sure if this would play right on the event of expiry since long options would deteriorate faster than the short options. Any thoughts on this?

Came out of puts at small profit. Bought while opening sold at 0930 at small profit.

Bought Put at opening and sold at decent profit to cover my earlier loss with Nifty Long… Net net premiums saved … :smile: