Finally We got a buy in Nifty today ... it opened with a gap of more than 1.5% ....
Our portfolio currently stands at 102.2% return in less than 9months.....
21st December Long Nifty at 4654
22nd December Stop Loss and short at 4530 (on close).
Please remember the setup will change its trend only on close below 4530
Trades till date
Our portfolio currently stands at 102.2% return in less than 9months.....
21st December Long Nifty at 4654
22nd December Stop Loss and short at 4530 (on close).
Please remember the setup will change its trend only on close below 4530
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% |
15.Short | 4654.1 | 5022 | 21/12/2011 | 08/12/2011 | 100000 | 102.25% |
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