After hitting our SAR the market melted ... Our portfolio return stands at 80%+ now
New trade from today... SHORT
8th December Short Nifty at 5022
9th December Stop Loss and long at 5135 (on close).
Please remember the setup will change its trend only on close above 5135
For intraday trade views you can look at techtrendcapital@facebook
Trades till date
New trade from today... SHORT
8th December Short Nifty at 5022
9th December Stop Loss and long at 5135 (on close).
Please remember the setup will change its trend only on close above 5135
For intraday trade views you can look at techtrendcapital@facebook
Trades till date
Trade | Buy | Sell | Buy Date | Sell Date | Capital Deployed | % Return (from 27th July) |
1.Short | 4922 | 5572 | 23/08/2011 | 27/07/2011 | 100000 | 32.50% |
2.Long | 4922 | 4865 | 23/08/2011 | 25/08/2011 | 100000 | 29.70% |
3.Short | 4920 | 4875 | 29/08/2011 | 25/08/2011 | 100000 | 27.40% |
4.Long | 4920 | 5078 | 29/08/2011 | 09/09/2011 | 100000 | 35.30% |
5.Short | 5040 | 5078 | 15/09/2011 | 09/09/2011 | 100000 | 37.20% |
6.Long | 5040 | 5035 | 15/09/2011 | 22/09/2011 | 100000 | 36.90% |
7.Short | 4935 | 5035 | 27/09/2011 | 22/09/2011 | 100000 | 41.90% |
8.Long | 4935 | 4820 | 27/09/2011 | 03/10/2011 | 100000 | 36.20% |
9.Short | 4885 | 4820 | 07/10/2011 | 03/10/2011 | 100000 | 32.95% |
10.Long | 4885 | 5056 | 07/10/2011 | 18/10/2011 | 100000 | 41.50% |
11.Short | 5131 | 5056 | 25/10/2011 | 18/10/2011 | 100000 | 37.75% |
12.Long | 5162 | 5331 | 25/10/2011 | 01/11/2011 | 100000 | 46.20% |
13.Short | 4800 | 5331 | 28/11/2011 | 01/11/2011 | 100000 | 72.75% |
14.Long | 4800 | 5022 | 28/11/2011 | 08/12/2011 | 100000 | 83.80% |
No comments:
Post a Comment