Thursday, November 29, 2007
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....
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