3 days profit |
Work analysis 07 September 2018
Trade 1. Book
profit yesterday’s short position (holding short from 11562) at 11522. Profit 11562
– 11522 = + 40 points.
Trade 2. Sell
Nifty Future @11597 SL 11599 (just 2 points) Target 11565. Profit 11597 – 11565
= +32 points
Time
Factor: SMS sent at 10:29 am, at 10:53 am NF made high 11598 and came
down to 11563.
Clients got 24
minutes to active the call.
Price
Factor: Short Level was 11597 NF made high 11598 and meltdown.
Risk::Reward =
2::32 = 1::16
Trade 3. Buy NF
@ 11581 SL 11579 Targets 11670 (Booked at 11631). Profit 11631 – 11581 = +50 points.
Time
Factor: Call sent at 01:36 pm. NF touched 11581 at 01:52 pm.
Got 16
minutes to initiate the call.
Price
Factor: Buy level was 11581, after 16 minutes NF touched 11581 and
reverse.
Risk::Reward = 2::50
= 1::25
Trade 1: Book
losses of positional short (holding short from 11527)@11548. Losses 11548 –
11527 = -21 points
Trade 2: Buy
NF @11539 SL 11536.60. SL triggered. Losses 11539 – 11536.60 = -2.4
points.
Trade 3: Sell NF @11504 Target 11470, after initiating
the call NF made low 11470(was day’s low). Profit 11504 – 11470 = +34 points
Trade 4: Buy
NF @11474 SL 11469.95 Booked 11582. Profit 11582 – 11474 = +108 points.
Trade 5: Sell
NF @11562 (positional) …..
Trade 1: Buy
NF @11540 SL 11538.50Targetg 11577. SL triggered, losses 11540 – 11538.50 = -1.5
points.
Trade 2: Buy
NF @ 11488 SL 11486.45 Targets 11526. SL triggered, losses 11488 – 11486.45 = -1.55
points.
Trade 3: Buy
NF @ 11451 SL 11448.80 Targets 11489. Target achieved. Profit 11489 – 11451 = +38 points.
Trade 4: Buy
NF @11477 SL 11474 Target 11527. Target achieved. Profit 11527 – 11477 = +50 points.
Trade 5: Sell
NF @11527 SL 11533 (revised)…..
05 September, 2018 à +85 points
06 September, 2018 à +118.6 points
07 September, 2018 à +122 points
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