Yet another trade with no profit. Markets are rangebound so it will be good even if can escape with small losses. So we have a new trade...
2nd November Long at 5730
5th November Short and stoploss at 5693
Trade sheet for FY 2012-13
2nd November Long at 5730
5th November Short and stoploss at 5693
Trade sheet for FY 2012-13
Date | Quantity | Buy Rate | Date | Sell Rate | Profit / Loss | Return On Investment | Cumulative Return |
02/04/2012 | 50 | 5320 | 09/04/2012 | 5280 | -2344.5 | -2.34% | -2% |
12/04/2012 | 50 | 5293 | 09/04/2012 | 5280 | -993.6 | -0.99% | -3% |
12/04/2012 | 50 | 5293 | 13/04/2012 | 5200 | -4991.0 | -4.99% | -8% |
16/04/2012 | 50 | 5250 | 13/04/2012 | 5200 | -2839.6 | -2.84% | -11% |
30/04/2012 | 50 | 5260 | 03/05/2012 | 5226 | -2040.8 | -2.04% | -13% |
25/05/2012 | 50 | 4926 | 03/05/2012 | 5226 | 14670.1 | 14.67% | 1% |
25/05/2012 | 50 | 4926 | 31/05/2012 | 4926 | -320.2 | -0.32% | 1% |
06/06/2012 | 50 | 4902 | 31/05/2012 | 4930 | 1080.5 | 1.08% | 2% |
06/06/2012 | 50 | 4902 | 09/07/2012 | 5280 | 18569.1 | 18.57% | 21% |
10/07/2012 | 50 | 5340 | 09/07/2012 | 5280 | -3345.2 | -3.35% | 17% |
10/07/2012 | 50 | 5340 | 12/07/2012 | 5250 | -4844.2 | -4.84% | 13% |
19/07/2012 | 50 | 5260 | 12/07/2012 | 5250 | -841.6 | -0.84% | 12% |
19/07/2012 | 50 | 5260 | 24/07/2012 | 5160 | -5338.6 | -5.34% | 6% |
30/07/2012 | 50 | 5180 | 24/07/2012 | 5160 | -1336.0 | -1.34% | 5% |
30/07/2012 | 50 | 5180 | 29/08/2012 | 5350 | 8157.8 | 8.16% | 13% |
06/09/2012 | 50 | 5350 | 29/08/2012 | 5350 | -347.7 | -0.35% | 13% |
21/09/2012 | 50 | 5635 | 26/09/2012 | 5645 | 133.4 | 0.13% | 13% |
27/09/2012 | 50 | 5711 | 26/09/2012 | 5670 | -2419.9 | -2.42% | 11% |
27/09/2012 | 50 | 5711 | 05/10/2012 | 5740 | 1077.8 | 1.08% | 12% |
18/10/2012 | 50 | 5735 | 08/10/2012 | 5720 | -1122.3 | -1.12% | 11% |
18/10/2012 | 50 | 5735 | 26/10/2012 | 5705 | -1871.8 | -1.87% | 9% |
02/11/2012 | 50 | 5730 | 26/10/2012 | 5705 | -1621.6 | -1.62% | 7% |
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