Our short SAR hits the next day itself .. shows market strenght ... We are long now ... Trade book attached...
31st January Long Nifty at 5225
1st February Stop Loss and short at 5100 (on close).
Please remember the setup will change its trend only on close below 5100
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% |
16.Long | 4654.1 | 4739 | 21/12/2011 | 28/12/2011 | 100000 | 106.49% |
17.Short | 4709 | 4739 | 03/01/2012 | 28/12/2011 | 100000 | 107.99% |
18.Long | 4709 | 5145 | 03/01/2012 | 30/01/2012 | 100000 | 129.79% |
19.Short | 5225 | 5145 | 31/01/2012 | 30/01/2012 | 100000 | 125.79% |