Thursday, November 29, 2007
ANALSYSIS OF ALL CALL-PUT STRATEGIES OF NOV...
chambel fertilizer.....
sell chambel fertilizer call 55@3
margin needed to sell call 55@3= 27000
u will earn by this=6900*3=20700
chambal has
support1=45.5
support2=44.5
resistance1=48
resistance2=51.5
ressistance3=54
if it crosses 54 thn buy future of chambel.....
let say buy future at 54.2
margin needed for chambel fertilizer= 107000
so u can earn in total=20700+5500=26200
FOR THIS U NEED TOTAL MARGIN = 107000+27000=134000
BUT I WILL ADVICE PEOPLE DNT TRADE THIS STRATEGY UNLESS U HAVE= 2LACTHIS I PREFER COZ WE NEED TO RASIE TRIGGER PRICE IF PRICE OF CHAMBEL GO UP......SO TO RAISE TRIGGER PRICE WE NEED TO ADD MARGIN.....ITS STRICLY ADVICABLE TO HAVE 2LAC FOR THIS TRADE....
MOST IMPORTANT IS THT IT HAS 107% VOLATILITY.....
WCH IS IDEAL FOR CALL SELLING.....
@HARMAN.....
ANALYSIS........
POSTED ON NOV 2....
CHAMBAL FERTILIZER CLOSES AT 59.85
IN IT AS MY RESISTANCE LEVEL OF 54 WAS BROKEN...
AS I SAID TO BUY FUTURE OF IT....
AFTER BREAKING MY REISTANCE IT WENT ALL THE WAY TO 80...
BUT AFTER THT IT FELL BUT NEVER WENT CLOSE TO 54....
SO AFTER BUYING FUTURE U WAS FREE AS UR CALL WAS COVERED WITH FUTURE...AND THT PRICE WAS NEVER BEEN TESTED AGAIN AFTER BREAK OUT......
EVN THOUGH IT FELL BUT NEVER WENT CLOSE TO 54....
IN THIS CASE AS SELLING PRICE WAS 3...
BUT AS I SUGGESTED TO BUY FUTURE ABOVE 54....
SO 1 FROM HERE ALSO....
SO IN TOTAL PROFIT 4*6900=27600....
ENJOY......
@ HARMAN.....
ANALSYSIS OF ALL CALL-PUT STRATEGIES OF NOV...
another new strategy...
denabank.....
sell denabank call 105 @ 2.5
margin needed to sell call= 42000 ( as calculated on icicdirect)
resistance 1= 91
resistance 2=102
if denabank croses102 thn u can buy future....
margin needed to buy future= 145000
note:- dnt trade thsi if u dnt have money to buy future if it required and money to raise trigger price of call.....
thnks....
@ harman...
ANALYSIS..........
POSTED ON 20 NOV.....
ACCORDING TO ME RESISATNCE OF 102...
ABOVE WCH I RECOMEMNDED TO BUY FUTURE...IT NEVER WENT NEAR TO THT LEVEL....
SO U DONOT EVN NEED TO BUY FUTURE....
AS IT CLOSES AT 77.85....
SO WHOLE PROFIT IS UR....2.5*5250=11812....IN JUST 6 TRADNG DAYS....
ENJOY.........
@ HARMAN.....
ANALSYSIS OF ALL CALL-PUT STRATEGIES OF NOV...
new strategy....
ttml or (hugtel on icici direct)
sell 65 call @ 1.5
resistance 1= 57
resistance 2= 62
u can buy future if ttml crosse 62....
margin needed to sell call@ 1.5 = 54000 ( as calculated by icicidirect)
margin neded for future = 2 lac....
so u can earn at least 15000 in just 6days....
note:- u shuld have enough margin so tht if u need to buy future thn u can... dnt trade this if u cant have money to buy future of ttml....
thnks....
@ harman...
ANALYSIS........
POSTED ON 20 NOV...
TTML CLOSES AT 46.15 ON EXPIRY DAY....
SO U HAVE 1.5 AS UR PROFIT....
SO TOTAL PROFIT=15675.... IN JUST 6 TRADING DAYS...
IT NEVER WENT CLOSE TO 62....
WCH WAS RESISTANCE ACCORDING TO ME...ABOVE WCH I RECOMMENDED TO BUY FUTURE...
SO NO NEED OF FUTURE BUYING....
ENJOY THIS WHOLE PROFIT THT TOO WITH LOTT OF SECURITY....
@ HARMAN...
ttml or (hugtel on icici direct)
sell 65 call @ 1.5
resistance 1= 57
resistance 2= 62
u can buy future if ttml crosse 62....
margin needed to sell call@ 1.5 = 54000 ( as calculated by icicidirect)
margin neded for future = 2 lac....
so u can earn at least 15000 in just 6days....
note:- u shuld have enough margin so tht if u need to buy future thn u can... dnt trade this if u cant have money to buy future of ttml....
thnks....
@ harman...
ANALYSIS........
POSTED ON 20 NOV...
TTML CLOSES AT 46.15 ON EXPIRY DAY....
SO U HAVE 1.5 AS UR PROFIT....
SO TOTAL PROFIT=15675.... IN JUST 6 TRADING DAYS...
IT NEVER WENT CLOSE TO 62....
WCH WAS RESISTANCE ACCORDING TO ME...ABOVE WCH I RECOMMENDED TO BUY FUTURE...
SO NO NEED OF FUTURE BUYING....
ENJOY THIS WHOLE PROFIT THT TOO WITH LOTT OF SECURITY....
@ HARMAN...
ANALSYSIS OF ALL CALL-PUT STRATEGIES OF NOV...
ANALYSIS OF ALL STRATEGIES OF NOV....
new strategy.....
gmr infra....
sell gmrinf nov. call 280@ 2.25
margin needed to sell= 137000 ( as calculated on icicidirect)
total premium u will get= 2.25*5000=11250
if gmr infra crosses 280 buy future of it....
margin neded to buy future at 280 will be around= 4 lac....
SO IN TOTAL U CAN EARN 11250 IN JUST 5 DAYS INCLUDING TODAY....
NOTE:- DONOT TRADE THIS STRATEGY UNLESS U HAVE ENOUGH MARGIN TO COVER CALL IF NEEDED WITH FUTURE.... AND ALSO U SHOULD HAVE MONEY TO RAISE TRIGGER PRICE OF CALL.... KEEP IT ABOVE STRIKE PRICE WCH IS 280....THNKS...@ HARMAN...
ANALYSIS.........
STARTEGY GIVEN ON NOV 22.....
on expiry gmr infra close at 245....
so all 2.25 remains with u...
so our profit is 2.25*5000=11250
JUST IN 5 DAYS...
ENJOY......
@ HARMAN....
Friday, November 23, 2007
for those who are not aware of call- put selling........
here i tell u procedure of icicidirect how to sell call or put.....
for ashok leyland
icicidirect code is ashley
u hve to go to f&o
thn thier u hve to go to place order option....
thn u hve to fill code ashley and thn change the option to call where future is written below the column where u will write code ashley
thn it will show whole page containing rates of calls
thn go to call nov @ 47.5...thn click to sell option....
enter price on whch rate u wana sell and proceed....
for this u must hve limit of atleast 14000 for call selling thn for future u must hve 50000 in ur limit....
as if we need to buy future thn we can....
so in total u need 14000+50000=64000
u must hve some more money if margin increases....
so if u ihve total of 1lac....
u can easily manage ur positon....
dnt jump if dnt hve 1 lac or more...
this is because tht u need more margin because......
whn u will sell call at 47.5 thn there will be a trigger price whch will come around 44.....
it means tht if ashok leyland crosses 44 ur call will automaticaly square off......so to avoid tht u need to rasie tht trigger price.....to rasise it u need to add margin in it.....
but as i hve told u to buy future if it crosses resistance thn if it go above even up to
52 u hve to increase ur trigger price of call above 54.....but there is one sequrity tht as above u buy future as future increses u will get money day by day if it clooses above previous day so tht profit whch will cum frm can be used to add margin to raise trigger price of call.....
i thnk i hve explained almost everything.....
if u want more plz tell me.....
NOTE:- THE PRICE AND MARGIN IS CALCLULATED ON 30 OCT 2007...
THESE MIGHT NOT BE SAME AS OF TODAY...... THIS IS ONLY TO EXPLAIN HOW WE CAN DO CALL-PUT SELLING..
Thursday, November 15, 2007
infoedge ( naukri)
infoedge( naukri)........
target1= 1450
target2= 1496
target3=1620
support1= 1300
support2=1270
support3=1250
target1= 1450
target2= 1496
target3=1620
support1= 1300
support2=1270
support3=1250
Sunday, November 11, 2007
DIWALI PICKS......
HAPPY DIWALI TO ALL.....
WISHES U GREAT YEAR AHEAD........
HERE IS MY DIWALI PICK FOR U.....
1) BLUE COAST HOTELS.....
IT HAS POTENTIAL TO BECOME A MULTIBAGGER.....
2)STATE BANK OF INDIA....
ANOTHER POTENTIAL MULTIBAGGER....
3)Welspun-Gujarat Stahl Rohren Ltd...
4)Gujarat NRE Coke Ltd
ANOTHER MULTIBAGGER......
ONE STRATEGY IS THT AS MARKET IS GOING DOWN SO DONT GO FOR THIS IN ONE GO.....BUT FORM THIS DIWALI TO NEXT DIWALI THESE WILL DEFINATELY BE MULTIBAGGER....
HAPPY EARNING.......
@HARMAN......
WISHES U GREAT YEAR AHEAD........
HERE IS MY DIWALI PICK FOR U.....
1) BLUE COAST HOTELS.....
IT HAS POTENTIAL TO BECOME A MULTIBAGGER.....
2)STATE BANK OF INDIA....
ANOTHER POTENTIAL MULTIBAGGER....
3)Welspun-Gujarat Stahl Rohren Ltd...
4)Gujarat NRE Coke Ltd
ANOTHER MULTIBAGGER......
ONE STRATEGY IS THT AS MARKET IS GOING DOWN SO DONT GO FOR THIS IN ONE GO.....BUT FORM THIS DIWALI TO NEXT DIWALI THESE WILL DEFINATELY BE MULTIBAGGER....
HAPPY EARNING.......
@HARMAN......
Wednesday, November 7, 2007
Tuesday, November 6, 2007
MARUTI......
maruti.....
.support1=1035
support2=960
support3=915
SUPPORT4=900
NOTE:- THESE ARE CLOSING BASIS LEVELS.... CLOSING BELOW THSESE LEVELS WILL LEAD TO NEXT SUPPORT OR RESISTANCE....
LIKELY NOT TO GO BELOW 960 IN THIS MOVE AS IT IS IN OVERSOLD ZONE....
BUT WILL REMAIN RANGE BOUND....
RESISTANCE1= 1000
RESISTANCE2=1050
.support1=1035
support2=960
support3=915
SUPPORT4=900
NOTE:- THESE ARE CLOSING BASIS LEVELS.... CLOSING BELOW THSESE LEVELS WILL LEAD TO NEXT SUPPORT OR RESISTANCE....
LIKELY NOT TO GO BELOW 960 IN THIS MOVE AS IT IS IN OVERSOLD ZONE....
BUT WILL REMAIN RANGE BOUND....
RESISTANCE1= 1000
RESISTANCE2=1050
Sunday, November 4, 2007
for sbi
SBI
TARGET1=2383
TARGET2=2624
TARGET3=3015
SUPPORT1=2187
SUPPORT2=2141
SUPPORT3=1990
NOTE:- ALL MY TARGETS ARE MEDIUM TO LONG TERM TARGETS.....
DNT EXPECT THESE IN ONE GO....
TARGET1=2383
TARGET2=2624
TARGET3=3015
SUPPORT1=2187
SUPPORT2=2141
SUPPORT3=1990
NOTE:- ALL MY TARGETS ARE MEDIUM TO LONG TERM TARGETS.....
DNT EXPECT THESE IN ONE GO....
SUPPORT LEVELS FOR ICICI BANK
FOR ICICI BANK
AS I DESCRIBED ALREADY PREVIOUS TARGET ACT AS SUPPORTS...
SOME MORE SUPPORT LEVELS...
SUPPORT1=1110
SUPPORT2=(995-1015)
SUPPORT3=958
SUPPORT4=907
AS I DESCRIBED ALREADY PREVIOUS TARGET ACT AS SUPPORTS...
SOME MORE SUPPORT LEVELS...
SUPPORT1=1110
SUPPORT2=(995-1015)
SUPPORT3=958
SUPPORT4=907
abb is looking gud...
target1=1628
target2=1705
target3=1837
target4=1923
target5=2105
support1=1505
suppoert2=1425
support3=1358
support4=1303
support5=1258
support6=1227
support7=1192
NOTE:- THESE SUPPORTS AND TARGETS ARE ON CLOSING BASIS NOT ON INTRADAY BASIS... SO CLSOING ABOVE THE TARGET WILL ENSURE JOURNEY TOWARS NEXT TARGET...
HAPPY EARNING....
target2=1705
target3=1837
target4=1923
target5=2105
support1=1505
suppoert2=1425
support3=1358
support4=1303
support5=1258
support6=1227
support7=1192
NOTE:- THESE SUPPORTS AND TARGETS ARE ON CLOSING BASIS NOT ON INTRADAY BASIS... SO CLSOING ABOVE THE TARGET WILL ENSURE JOURNEY TOWARS NEXT TARGET...
HAPPY EARNING....
targets for icici bank...
take a luk at this one guys.....
rocking call given....
target1=1223
target2=1291
target3=1377
target4=1444
target5=1595
after hitting any target if stock corrects thn previous target will act as supports...whch are gud time for entries....
rocking call given....
target1=1223
target2=1291
target3=1377
target4=1444
target5=1595
after hitting any target if stock corrects thn previous target will act as supports...whch are gud time for entries....
reliance petroleum......
targets for reliance petrolum
target1= 223
target2=245
target3=272
target4=314
target5=340
3 targets are achieved already....
target1= 223
target2=245
target3=272
target4=314
target5=340
3 targets are achieved already....
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