Sold 6200 Pe Jan. @ 215-134=81
Sold 5900 Ce Jan. @ 265-263=2
Bought Nf Jan. @ 6100-6127=27
Total MTM- 81+2+27=110 Points
Target 200 points in 15-20 days
Friday, December 31, 2010
Nifty & bank Nf Camrilla Levels
Nf Cam Levels
H5 6146
H4 6126 Long breakout
H3 6114 SHORT
H2 6110
H1 6106
L1 6098
L2 6094
L3 6090 LONG
L4 6078 Short breakout
L5 6058
Bank Nf Cam Levels
H5 11718
H4 11678 Long breakout
H3 11654 SHORT
H2 11646
H1 11637
L1 11621
L2 11613
L3 11605 LONG
L4 11581 Short breakout
L5 11540
Nf pivot levels
R3 6162.10
R2 6134.25
R1 6118.05
PIVOT 6090.20
S1 6074.00
S2 6046.15
S3 6029.95
H5 6146
H4 6126 Long breakout
H3 6114 SHORT
H2 6110
H1 6106
L1 6098
L2 6094
L3 6090 LONG
L4 6078 Short breakout
L5 6058
Bank Nf Cam Levels
H5 11718
H4 11678 Long breakout
H3 11654 SHORT
H2 11646
H1 11637
L1 11621
L2 11613
L3 11605 LONG
L4 11581 Short breakout
L5 11540
Nf pivot levels
R3 6162.10
R2 6134.25
R1 6118.05
PIVOT 6090.20
S1 6074.00
S2 6046.15
S3 6029.95
Thursday, December 30, 2010
Nifty Trade as per Volume Profile
As per 5 day Volume profile strong suport lies @ 5995.
But Nf is at a crucial resistence point of 6090.
From opening future remain above VAH.
But I take a contrarian call & shorted NS @ 6080 level.
As today is expiry we may see 2 side drama today.
I hold shorts for a Target of 6045.
& try to go long at that level for nxt series.
But Nf is at a crucial resistence point of 6090.
From opening future remain above VAH.
But I take a contrarian call & shorted NS @ 6080 level.
As today is expiry we may see 2 side drama today.
I hold shorts for a Target of 6045.
& try to go long at that level for nxt series.
Nf Trade as per ORB
HIGH 6131.00 LOW 6105.00
Buy Above 6131.85 Sell Below 6104.15
Target-1 6144.85 Target-1 6091.15
Target-2 6152.29 Target-2 6083.71
Target-3 6157.85 Target-3 6078.15
Target-4 6167.78 Target-4 6068.22
Target-5 6180.78 Target-5 6055.22
Target-6 6188.22 Target-6 6047.78
Target-7 6193.78 Target-7 6042.22
Target-8 6203.71 Mid Point Target-8 6032.29
Stoploss 6115.78 6118.00 Stoploss 6120.22
Buy Above 6131.85 Sell Below 6104.15
Target-1 6144.85 Target-1 6091.15
Target-2 6152.29 Target-2 6083.71
Target-3 6157.85 Target-3 6078.15
Target-4 6167.78 Target-4 6068.22
Target-5 6180.78 Target-5 6055.22
Target-6 6188.22 Target-6 6047.78
Target-7 6193.78 Target-7 6042.22
Target-8 6203.71 Mid Point Target-8 6032.29
Stoploss 6115.78 6118.00 Stoploss 6120.22
Update on Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-154=61
Sold 5900 Ce Jan. @ 265-244=21
Total MTM- 61+21=82 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-244=21
Total MTM- 61+21=82 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6126
H4 6096 Long breakout
H3 6078 SHORT
H2 6072
H1 6066
L1 6054
L2 6048
L3 6043 LONG
L4 6025 Short breakout
L5 5995
Bank Nf Cam Levels
H5 11608
H4 11610 Long breakout
H3 11611 SHORT
H2 11612
H1 11612
L1 11613
L2 11614
L3 11614 LONG
L4 11616 Short breakout
L5 11618
Nf Pivot Levels
R3 6149.02
R2 6108.28
R1 6084.32
PIVOT 6043.58
S1 6019.62
S2 5978.88
S3 5954.92
H5 6126
H4 6096 Long breakout
H3 6078 SHORT
H2 6072
H1 6066
L1 6054
L2 6048
L3 6043 LONG
L4 6025 Short breakout
L5 5995
Bank Nf Cam Levels
H5 11608
H4 11610 Long breakout
H3 11611 SHORT
H2 11612
H1 11612
L1 11613
L2 11614
L3 11614 LONG
L4 11616 Short breakout
L5 11618
Nf Pivot Levels
R3 6149.02
R2 6108.28
R1 6084.32
PIVOT 6043.58
S1 6019.62
S2 5978.88
S3 5954.92
Wednesday, December 29, 2010
Nifty Trade as per ORB
Open Range Breakout Trading System
HIGH 6032.30 LOW 6015.05
Buy Above 6033.15 Sell Below 6014.20
Target-1 6041.78 Target-1 6005.58
Target-2 6046.71 Target-2 6000.64
Target-3 6050.40 Target-3 5996.95
Target-4 6056.99 Target-4 5990.36
Target-5 6065.61 Target-5 5981.74
Target-6 6070.55 Target-6 5976.80
Target-7 6074.24 Target-7 5973.11
Target-8 6080.83 Mid Point Target-8 5966.52
Stoploss 6022.49 6023.68 Stoploss 6024.86
HIGH 6032.30 LOW 6015.05
Buy Above 6033.15 Sell Below 6014.20
Target-1 6041.78 Target-1 6005.58
Target-2 6046.71 Target-2 6000.64
Target-3 6050.40 Target-3 5996.95
Target-4 6056.99 Target-4 5990.36
Target-5 6065.61 Target-5 5981.74
Target-6 6070.55 Target-6 5976.80
Target-7 6074.24 Target-7 5973.11
Target-8 6080.83 Mid Point Target-8 5966.52
Stoploss 6022.49 6023.68 Stoploss 6024.86
Nifty Trade as per Volume Profile
As per 5 day Volume profile bigest suport lies near 5995-85 Level.
Nifty gets suport yesterday near that level & today bounce back upto 6020 level.
Nf today opens High & take suport above VAH-6018.
Now Target should be Monday VAH-6040.
Exit from Longs @ 6040 & create small short there for again 6000.
Buy 6100Ce Jan. near 6000 & hold till nxt monday.
Nifty gets suport yesterday near that level & today bounce back upto 6020 level.
Nf today opens High & take suport above VAH-6018.
Now Target should be Monday VAH-6040.
Exit from Longs @ 6040 & create small short there for again 6000.
Buy 6100Ce Jan. near 6000 & hold till nxt monday.
Update on Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-200=15
Sold 5900 Ce Jan. @ 265-204=61
Sold Nf @ 6050-6014=36
Total MTM- 15+61+36=112 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-204=61
Sold Nf @ 6050-6014=36
Total MTM- 15+61+36=112 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6025
H4 6012 Long breakout
H3 6004 SHORT
H2 6001
H1 5999
L1 5993
L2 5991
L3 5988 LONG
L4 5980 Short breakout
L5 5967
Bank Nf Cam Levels
H5 11532
H4 11485 Long breakout
H3 11456 SHORT
H2 11446
H1 11437
L1 11418
L2 11408
L3 11399 LONG
L4 11370 Short breakout
L5 11323
Nf Pivot Levels
R3 6039.17
R2 6025.03
R1 6010.52
PIVOT 5996.38
S1 5981.87
S2 5967.73
S3 5953.22
H5 6025
H4 6012 Long breakout
H3 6004 SHORT
H2 6001
H1 5999
L1 5993
L2 5991
L3 5988 LONG
L4 5980 Short breakout
L5 5967
Bank Nf Cam Levels
H5 11532
H4 11485 Long breakout
H3 11456 SHORT
H2 11446
H1 11437
L1 11418
L2 11408
L3 11399 LONG
L4 11370 Short breakout
L5 11323
Nf Pivot Levels
R3 6039.17
R2 6025.03
R1 6010.52
PIVOT 5996.38
S1 5981.87
S2 5967.73
S3 5953.22
Tuesday, December 28, 2010
Nifty Trade as per ORB
Buy Above | 6020.85 | Sell Below | 6002.35 | |
Target-1 | 6029.25 | Target-1 | 5993.95 | |
Target-2 | 6034.05 | Target-2 | 5989.15 | |
Target-3 | 6037.65 | Target-3 | 5985.55 | |
Target-4 | 6044.07 | Target-4 | 5979.13 | |
Target-5 | 6052.47 | Target-5 | 5970.73 | |
Target-6 | 6057.27 | Target-6 | 5965.93 | |
Target-7 | 6060.87 | Target-7 | 5962.33 | |
Target-8 | 6067.29 | Mid Point | Target-8 | 5955.91 |
Stoploss | 6010.47 | 6011.60 | Stoploss | 6012.73 |
Nifty Trade as per Volume profile
As per volume profile there are two big bars
1.@ 5995
2.@ 6014.
If Nf able to hold 6006 VAL we can see a rally towards VAH-6040,but for it first it has to cross POC 6020 & sustain above it.
Similarly NS has to cross 6014 & sustain above it for 6035-6040 range.
Go long near VAL with 10 point sl can be the first trade.
Nf not able to hold VAL,exit from trade at cost.
Try to short near 6010Nf with sl 6020.T-5990,5975
Nf resistricted to yesterday VAL.
I give yesterday target of 5996 & todays low 5997.
I think this Volume profile mix with Market profile going intresting.
1.@ 5995
2.@ 6014.
If Nf able to hold 6006 VAL we can see a rally towards VAH-6040,but for it first it has to cross POC 6020 & sustain above it.
Similarly NS has to cross 6014 & sustain above it for 6035-6040 range.
Go long near VAL with 10 point sl can be the first trade.
Nf not able to hold VAL,exit from trade at cost.
Try to short near 6010Nf with sl 6020.T-5990,5975
Nf resistricted to yesterday VAL.
I give yesterday target of 5996 & todays low 5997.
I think this Volume profile mix with Market profile going intresting.
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6053
H4 6028 Long breakout
H3 6013 SHORT
H2 6008
H1 6003
L1 5993
L2 5988
L3 5983 LONG
L4 5968 Short breakout
L5 5943
Bank Nf Cam Levels
H5 11574
H4 11527 Long breakout
H3 11499 SHORT
H2 11490
H1 11480
L1 11462
L2 11452
L3 11443 LONG
L4 11415 Short breakout
L5 11368
Nf Pivot Levels
R3 6086.85
R2 6066.30
R1 6032.20
PIVOT 6011.65
S1 5977.55
S2 5957.00
S3 5922.90
H5 6053
H4 6028 Long breakout
H3 6013 SHORT
H2 6008
H1 6003
L1 5993
L2 5988
L3 5983 LONG
L4 5968 Short breakout
L5 5943
Bank Nf Cam Levels
H5 11574
H4 11527 Long breakout
H3 11499 SHORT
H2 11490
H1 11480
L1 11462
L2 11452
L3 11443 LONG
L4 11415 Short breakout
L5 11368
Nf Pivot Levels
R3 6086.85
R2 6066.30
R1 6032.20
PIVOT 6011.65
S1 5977.55
S2 5957.00
S3 5922.90
Monday, December 27, 2010
Nifty Trade as per ORB
Buy Above 6057.75 Sell Below 6037.10
Target-1 6067.23 Target-1 6027.63
Target-2 6072.64 Target-2 6022.21
Target-3 6076.70 Target-3 6018.15
Target-4 6083.94 Target-4 6010.91
Target-5 6093.41 Target-5 6001.44
Target-6 6098.83 Target-6 5996.02
Target-7 6102.89 Target-7 5991.96
Target-8 6110.13 Mid Point Target-8 5984.72
Stoploss 6046.04 6047.43 Stoploss 6048.81
Target-1 6067.23 Target-1 6027.63
Target-2 6072.64 Target-2 6022.21
Target-3 6076.70 Target-3 6018.15
Target-4 6083.94 Target-4 6010.91
Target-5 6093.41 Target-5 6001.44
Target-6 6098.83 Target-6 5996.02
Target-7 6102.89 Target-7 5991.96
Target-8 6110.13 Mid Point Target-8 5984.72
Stoploss 6046.04 6047.43 Stoploss 6048.81
Nifty Trade as per Volume profile
Buy Nf near or below 6040 sl-6020
As per Volume Profile Nifty has strong suport near 6010 & 5985,5980 level.
In this market shorts should be avoided.
Only intra shorts can be done with strict sl.
If today VAH & POC holds than we can see a massive rally towards 6070,6100 level.
Nifty may visit POC-6022,as it already break VAl.
I took agressive short on break of it.
My 1st T-6022 2nd VAL-5996
Book out 1 lot @ 6020 nf.
Now waiting for VAl-5996
TSl 6040
As per Volume Profile
NS have highest Volume @ 6018 & 6036
One may reenter shorts near 6018 with Sl-6040 spot.
As per Volume Profile Nifty has strong suport near 6010 & 5985,5980 level.
In this market shorts should be avoided.
Only intra shorts can be done with strict sl.
If today VAH & POC holds than we can see a massive rally towards 6070,6100 level.
Nifty may visit POC-6022,as it already break VAl.
I took agressive short on break of it.
My 1st T-6022 2nd VAL-5996
Book out 1 lot @ 6020 nf.
Now waiting for VAl-5996
TSl 6040
As per Volume Profile
NS have highest Volume @ 6018 & 6036
One may reenter shorts near 6018 with Sl-6040 spot.
Update on Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-190=25
Sold 5900 Ce Jan. @ 265-223=42
Sold Nf @ 6050-6040=10
Total MTM- 25+42+10=77 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-223=42
Sold Nf @ 6050-6040=10
Total MTM- 25+42+10=77 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
Bank Nf Cam Levels
Nf Pivot levels
H5 | 6090 | ||
H4 | 6054 | Long breakout | |
H3 | 6033 | SHORT | |
H2 | 6026 | ||
H1 | 6019 | ||
L1 | 6004 | ||
L2 | 5997 | ||
L3 | 5990 | LONG | |
L4 | 5969 | Short breakout | |
L5 | 5933 |
Bank Nf Cam Levels
H5 | 11598 | ||
H4 | 11543 | Long breakout | |
H3 | 11510 | SHORT | |
H2 | 11499 | ||
H1 | 11488 | ||
L1 | 11466 | ||
L2 | 11455 | ||
L3 | 11444 | LONG | |
L4 | 11411 | Short breakout | |
L5 | 11356 |
Nf Pivot levels
R3 | 6116.25 |
R2 | 6066.80 |
R1 | 6039.15 |
PIVOT | 5989.70 |
S1 | 5962.05 |
S2 | 5912.60 |
S3 | 5884.95 |
Saturday, December 25, 2010
Friday, December 24, 2010
Nifty trade as per Volume Profile
I share my Trade as per volume profile.
Sorry Friends for late posting due to net problem.
Today Nf open lower below Value areas of yesterday.
I do a Gap trade as per Profile.
Long @ 5970 Nf exit at VAL of yesterday i.e. 5988,also it is day high.
After that Nf not able to sustain above it.
As per Volume profile biggest volume at days low 5940 NS.
It should be the biggest suport for the further rally.
Nxt suport lies @ 5895.
A strong suport lies here @ 5963-65 level.
Can long here for 10-15 points Sl-5959 NS.
Target POC 5996
Exit from longs.
now long only above 5988 for 6010
Sorry Friends for late posting due to net problem.
Today Nf open lower below Value areas of yesterday.
I do a Gap trade as per Profile.
Long @ 5970 Nf exit at VAL of yesterday i.e. 5988,also it is day high.
After that Nf not able to sustain above it.
As per Volume profile biggest volume at days low 5940 NS.
It should be the biggest suport for the further rally.
Nxt suport lies @ 5895.
A strong suport lies here @ 5963-65 level.
Can long here for 10-15 points Sl-5959 NS.
Target POC 5996
Exit from longs.
now long only above 5988 for 6010
Update on Nifty Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-229=-14
Sold 5900 Ce Jan. @ 265-204=61
Sold Nf @ 6050-5995=55
Total MTM- -14+61+55=102 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-204=61
Sold Nf @ 6050-5995=55
Total MTM- -14+61+55=102 Points
Target 200 points in 15-20 days
Thursday, December 23, 2010
Nifty Volume profile trading
I share My trade here as per Volume profile.
As per 5 days volume profile strong suports lies @ 5948 & 5890 levels.
But as per yesterdays & todays Volume profile strong supply @ 6015 & 6005 levels.
also at 5985 yesterday level.
I am short @ 6005.
Add few more near 6015-20 level.
Add more if breaks 5980 Sl-6030
Target -5950,5925,5900
Shorts added on break of 5980.
Now last shorts added on break of 5975 Niftt future
As per 5 days volume profile strong suports lies @ 5948 & 5890 levels.
But as per yesterdays & todays Volume profile strong supply @ 6015 & 6005 levels.
also at 5985 yesterday level.
I am short @ 6005.
Add few more near 6015-20 level.
Add more if breaks 5980 Sl-6030
Target -5950,5925,5900
Shorts added on break of 5980.
Now last shorts added on break of 5975 Niftt future
Update on Nifty Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-228=-13
Sold 5900 Ce Jan. @ 265-210=55
Sold Nf @ 6050-5995=55
Total MTM- -13+55+55=97 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-210=55
Sold Nf @ 6050-5995=55
Total MTM- -13+55+55=97 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6050
H4 6021 Long breakout
H3 6002 SHORT
H2 5996
H1 5990
L1 5978
L2 5972
L3 5966 LONG
L4 5948 Short breakout
L5 5918
Bank Nf Cam Level
H5 11695
H4 11592 Long breakout
H3 11530 SHORT
H2 11509
H1 11488
L1 11447
L2 11426
L3 11405 LONG
L4 11343 Short breakout
L5 11240
Nf pivot levels
R3 6085.27
R2 6054.53
R1 6019.47
PIVOT 5988.73
S1 5953.67
S2 5922.93
S3 5887.87
H5 6050
H4 6021 Long breakout
H3 6002 SHORT
H2 5996
H1 5990
L1 5978
L2 5972
L3 5966 LONG
L4 5948 Short breakout
L5 5918
Bank Nf Cam Level
H5 11695
H4 11592 Long breakout
H3 11530 SHORT
H2 11509
H1 11488
L1 11447
L2 11426
L3 11405 LONG
L4 11343 Short breakout
L5 11240
Nf pivot levels
R3 6085.27
R2 6054.53
R1 6019.47
PIVOT 5988.73
S1 5953.67
S2 5922.93
S3 5887.87
Wednesday, December 22, 2010
Nifty Volume profile trading
I will post here my trades based on Volume Profile.
Yesterady Nifty has highest volume at the level of 6001.
So today it should get strong suport at that level.
Also VAH In futures 6016 gives strong suport if the momentum is strong.
Can create Long near to VAH or 6001 NS. with small sl.
Target 20-30 points.
As I write here Nf start Flying.
Book out my 1 lot with 25 point profit.
TSL second with 6030 Nf
If any body want to enter than second entry point is near to
6025-6027 Nf.
Today 5 Min chart gives highest Volume near to 6018-6019 NS.
Long Here with sl 6012 ( 6 points risk).
Sl Hit exit from all longs.
Renter with 1 lot @ 6027 Nfuture.
Sl 6016 VAH.
Yesterady Nifty has highest volume at the level of 6001.
So today it should get strong suport at that level.
Also VAH In futures 6016 gives strong suport if the momentum is strong.
Can create Long near to VAH or 6001 NS. with small sl.
Target 20-30 points.
As I write here Nf start Flying.
Book out my 1 lot with 25 point profit.
TSL second with 6030 Nf
If any body want to enter than second entry point is near to
6025-6027 Nf.
Today 5 Min chart gives highest Volume near to 6018-6019 NS.
Long Here with sl 6012 ( 6 points risk).
Sl Hit exit from all longs.
Renter with 1 lot @ 6027 Nfuture.
Sl 6016 VAH.
Update on Nifty Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-221=-6
Sold 5900 Ce Jan. @ 265-221=44
Sold Nf @ 6050-6010=40
Total MTM- -6+44+40=78 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-221=44
Sold Nf @ 6050-6010=40
Total MTM- -6+44+40=78 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf cam Levels
H5 6048
H4 6027 Long breakout
H3 6014 SHORT
H2 6009
H1 6005
L1 5996
L2 5992
L3 5988 LONG
L4 5975 Short breakout
L5 5953
Bank Nf Cam Levels
H5 11820
H4 11689 Long breakout
H3 11613 SHORT
H2 11588
H1 11563
L1 11512
L2 11487
L3 11461 LONG
L4 11385 Short breakout
L5 11255
Nf Pivot Levels
R3 6066.12
R2 6036.78
R1 6018.72
PIVOT 5989.38
S1 5971.32
S2 5941.98
S3 5923.92
H5 6048
H4 6027 Long breakout
H3 6014 SHORT
H2 6009
H1 6005
L1 5996
L2 5992
L3 5988 LONG
L4 5975 Short breakout
L5 5953
Bank Nf Cam Levels
H5 11820
H4 11689 Long breakout
H3 11613 SHORT
H2 11588
H1 11563
L1 11512
L2 11487
L3 11461 LONG
L4 11385 Short breakout
L5 11255
Nf Pivot Levels
R3 6066.12
R2 6036.78
R1 6018.72
PIVOT 5989.38
S1 5971.32
S2 5941.98
S3 5923.92
Tuesday, December 21, 2010
Update on Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-266=-51
Sold 5900 Ce Jan. @ 265-196=69
Sold Nf @ 6050-5953=97
Total MTM- -51+69+97=115 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-196=69
Sold Nf @ 6050-5953=97
Total MTM- -51+69+97=115 Points
Target 200 points in 15-20 days
Nifty & bank Nifty Camrilla Levels
Nf Cam Levels
H5 6032
H4 5994 Long breakout
H3 5970 SHORT
H2 5963
H1 5955
L1 5939
L2 5932
L3 5924 LONG
L4 5900 Short breakout
L5 5862
Bank Nf Cam Levels
H5 11438
H4 11361 Long breakout
H3 11314 SHORT
H2 11298
H1 11283
L1 11251
L2 11236
L3 11220 LONG
L4 11173 Short breakout
L5 11096
Nf Pivot Levels
R3 6072.70
R2 6028.85
R1 5987.95
PIVOT 5944.10
S1 5903.20
S2 5859.35
S3 5818.45
H5 6032
H4 5994 Long breakout
H3 5970 SHORT
H2 5963
H1 5955
L1 5939
L2 5932
L3 5924 LONG
L4 5900 Short breakout
L5 5862
Bank Nf Cam Levels
H5 11438
H4 11361 Long breakout
H3 11314 SHORT
H2 11298
H1 11283
L1 11251
L2 11236
L3 11220 LONG
L4 11173 Short breakout
L5 11096
Nf Pivot Levels
R3 6072.70
R2 6028.85
R1 5987.95
PIVOT 5944.10
S1 5903.20
S2 5859.35
S3 5818.45
Monday, December 20, 2010
Update on Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-266=-51
Sold 5900 Ce Jan. @ 265-203=62
Sold Nf @ 6050-5966=84
Total MTM- -51+62+84=95 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-203=62
Sold Nf @ 6050-5966=84
Total MTM- -51+62+84=95 Points
Target 200 points in 15-20 days
Nifty & bank Nifty Camrilla Levels
Nf Cam Levels
H5 6051
H4 6004 Long breakout
H3 5977 SHORT
H2 5967
H1 5958
L1 5939
L2 5930
L3 5921 LONG
L4 5893 Short breakout
L5 5846
Bank Nf Cam Levels
H5 11770
H4 11610 Long breakout
H3 11517 SHORT
H2 11486
H1 11455
L1 11393
L2 11362
L3 11331 LONG
L4 11239 Short breakout
L5 11078
Nf pivot levels
R3 6086.02
R2 6021.08
R1 5984.92
PIVOT 5919.98
S1 5883.82
S2 5818.88
S3 5782.72
H5 6051
H4 6004 Long breakout
H3 5977 SHORT
H2 5967
H1 5958
L1 5939
L2 5930
L3 5921 LONG
L4 5893 Short breakout
L5 5846
Bank Nf Cam Levels
H5 11770
H4 11610 Long breakout
H3 11517 SHORT
H2 11486
H1 11455
L1 11393
L2 11362
L3 11331 LONG
L4 11239 Short breakout
L5 11078
Nf pivot levels
R3 6086.02
R2 6021.08
R1 5984.92
PIVOT 5919.98
S1 5883.82
S2 5818.88
S3 5782.72
Wednesday, December 15, 2010
Update On Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-279=-64
Sold 5900 Ce Jan. @ 265-209=56
Sold Nf @ 6050-5960=90
Total MTM- -64+56+90=82 Points
Target 200 points in 15-20 days
No Blog Update Tomorrow
Nxt update on Monday.
Sold 5900 Ce Jan. @ 265-209=56
Sold Nf @ 6050-5960=90
Total MTM- -64+56+90=82 Points
Target 200 points in 15-20 days
No Blog Update Tomorrow
Nxt update on Monday.
Nifty & Bank Nifty Camrilla Levels
Nf Cam Levels
H5 6009
H4 5979 Long breakout
H3 5961 SHORT
H2 5955
H1 5949
L1 5937
L2 5931
L3 5925 LONG
L4 5907 Short breakout
L5 5877
Bank Nf Cam Levels
H5 11745
H4 11661 Long breakout
H3 11611 SHORT
H2 11594
H1 11577
L1 11544
L2 11527
L3 11510 LONG
L4 11460 Short breakout
L5 11376
Nf Pivot Levels
R3 6033.65
R2 5993.80
R1 5968.45
PIVOT 5928.60
S1 5903.25
S2 5863.40
S3 5838.05
H5 6009
H4 5979 Long breakout
H3 5961 SHORT
H2 5955
H1 5949
L1 5937
L2 5931
L3 5925 LONG
L4 5907 Short breakout
L5 5877
Bank Nf Cam Levels
H5 11745
H4 11661 Long breakout
H3 11611 SHORT
H2 11594
H1 11577
L1 11544
L2 11527
L3 11510 LONG
L4 11460 Short breakout
L5 11376
Nf Pivot Levels
R3 6033.65
R2 5993.80
R1 5968.45
PIVOT 5928.60
S1 5903.25
S2 5863.40
S3 5838.05
Tuesday, December 14, 2010
Update On Nf Option Hedging Strategy
Update On Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-311=-96
Sold 5900 Ce Jan. @ 265-200=65
Sold Nf @ 6050-5932=118
Total MTM- -96+65+118=87 Points
Target 200 points in 15-20 days
Sold 6200 Pe Jan. @ 215-311=-96
Sold 5900 Ce Jan. @ 265-200=65
Sold Nf @ 6050-5932=118
Total MTM- -96+65+118=87 Points
Target 200 points in 15-20 days
Nifty & Bank Nifty Camrilla Levels
Nf Cam Levels
H5 6028
H4 5973 Long breakout
H3 5940 SHORT
H2 5929
H1 5918
L1 5897
L2 5886
L3 5875 LONG
L4 5843 Short breakout
L5 5787
Bank Nf Cam levels
H5 11820
H4 11680 Long breakout
H3 11599 SHORT
H2 11572
H1 11545
L1 11491
L2 11464
L3 11437 LONG
L4 11356 Short breakout
L5 11216
Nf Pivot Levels
R3 6067.03
R2 5990.42
R1 5949.03
PIVOT 5872.42
S1 5831.03
S2 5754.42
S3 5713.03
H5 6028
H4 5973 Long breakout
H3 5940 SHORT
H2 5929
H1 5918
L1 5897
L2 5886
L3 5875 LONG
L4 5843 Short breakout
L5 5787
Bank Nf Cam levels
H5 11820
H4 11680 Long breakout
H3 11599 SHORT
H2 11572
H1 11545
L1 11491
L2 11464
L3 11437 LONG
L4 11356 Short breakout
L5 11216
Nf Pivot Levels
R3 6067.03
R2 5990.42
R1 5949.03
PIVOT 5872.42
S1 5831.03
S2 5754.42
S3 5713.03
Monday, December 13, 2010
Update on Nf O[tion Hedging Strategy
Update On Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-345=-130
Sold 5900 Ce Jan. @ 265-167=98
Sold Nf @ 6050-5879=171
Total MTM- -130+98+171=139 Points
Target 200 points in 15-20 days
Sold 6200 Pe Jan. @ 215-345=-130
Sold 5900 Ce Jan. @ 265-167=98
Sold Nf @ 6050-5879=171
Total MTM- -130+98+171=139 Points
Target 200 points in 15-20 days
Nifty & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6005
H4 5937 Long breakout
H3 5897 SHORT
H2 5884
H1 5871
L1 5844
L2 5831
L3 5818 LONG
L4 5778 Short breakout
L5 5710
Bank Nf Cam levels
H5 11973
H4 11725 Long breakout
H3 11586 SHORT
H2 11540
H1 11493
L1 11401
L2 11354
L3 11308 LONG
L4 11169 Short breakout
L5 10921
Nf Pivot levels
R3 6052.53
R2 5959.02
R1 5908.18
PIVOT 5814.67
S1 5763.83
S2 5670.32
S3 5619.48
H5 6005
H4 5937 Long breakout
H3 5897 SHORT
H2 5884
H1 5871
L1 5844
L2 5831
L3 5818 LONG
L4 5778 Short breakout
L5 5710
Bank Nf Cam levels
H5 11973
H4 11725 Long breakout
H3 11586 SHORT
H2 11540
H1 11493
L1 11401
L2 11354
L3 11308 LONG
L4 11169 Short breakout
L5 10921
Nf Pivot levels
R3 6052.53
R2 5959.02
R1 5908.18
PIVOT 5814.67
S1 5763.83
S2 5670.32
S3 5619.48
Friday, December 10, 2010
Update On Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-432=-217
Sold 5900 Ce Jan. @ 265-128=137
Sold Nf @ 6050-5780=270
Toatal MTM- -215+137+270=192 Points
Target 200 points in 15-20 days
I will try to cover This strategy Today.
Sold 5900 Ce Jan. @ 265-128=137
Sold Nf @ 6050-5780=270
Toatal MTM- -215+137+270=192 Points
Target 200 points in 15-20 days
I will try to cover This strategy Today.
Nifty & Bank NF Camrilla Levels
Nf Cam Levels
H5 5952
H4 5868 Long breakout
H3 5817 SHORT
H2 5800
H1 5783
L1 5750
L2 5733
L3 5716 LONG
L4 5665 Short breakout
L5 5581
Bank Nf Cam levels
H5 11609
H4 11386 Long breakout
H3 11251 SHORT
H2 11206
H1 11161
L1 11071
L2 11026
L3 10981 LONG
L4 10847 Short breakout
L5 10623
Nf Pivot Levels
R3 6066.77
R2 5997.03
R1 5881.77
PIVOT 5812.03
S1 5696.77
S2 5627.03
S3 5511.77
H5 5952
H4 5868 Long breakout
H3 5817 SHORT
H2 5800
H1 5783
L1 5750
L2 5733
L3 5716 LONG
L4 5665 Short breakout
L5 5581
Bank Nf Cam levels
H5 11609
H4 11386 Long breakout
H3 11251 SHORT
H2 11206
H1 11161
L1 11071
L2 11026
L3 10981 LONG
L4 10847 Short breakout
L5 10623
Nf Pivot Levels
R3 6066.77
R2 5997.03
R1 5881.77
PIVOT 5812.03
S1 5696.77
S2 5627.03
S3 5511.77
Thursday, December 9, 2010
Update On Nf Option Hedging Strategy
Sold 6200 Pe Jan. @ 215-304=-89
Sold 5900 Ce Jan. @ 265-189=76
Sold Nf @ 6050-5923=127
Toatal MTM- -89+76+127=114 Points
Target 200 points in 15-20 days
Sold 5900 Ce Jan. @ 265-189=76
Sold Nf @ 6050-5923=127
Toatal MTM- -89+76+127=114 Points
Target 200 points in 15-20 days
Nifty & Bank NF Camrilla Levels
Nf Cam levels
H5 5985
H4 5948 Long breakout
H3 5926 SHORT
H2 5919
H1 5911
L1 5896
L2 5889
L3 5881 LONG
L4 5859 Short breakout
L5 5822
Bank Nf Cam Levels
H5 11704
H4 11593 Long breakout
H3 11527 SHORT
H2 11505
H1 11482
L1 11438
L2 11416
L3 11394 LONG
L4 11327 Short breakout
L5 11217
Nf Pivot Levels
R3 6031.00
R2 5995.50
R1 5949.60
PIVOT 5914.10
S1 5868.20
S2 5832.70
S3 5786.80
H5 5985
H4 5948 Long breakout
H3 5926 SHORT
H2 5919
H1 5911
L1 5896
L2 5889
L3 5881 LONG
L4 5859 Short breakout
L5 5822
Bank Nf Cam Levels
H5 11704
H4 11593 Long breakout
H3 11527 SHORT
H2 11505
H1 11482
L1 11438
L2 11416
L3 11394 LONG
L4 11327 Short breakout
L5 11217
Nf Pivot Levels
R3 6031.00
R2 5995.50
R1 5949.60
PIVOT 5914.10
S1 5868.20
S2 5832.70
S3 5786.80
Wednesday, December 8, 2010
Nifty & Bank NF Camrilla Levels
Nf Cam Levels
H5 6038
H4 6010 Long breakout
H3 5993 SHORT
H2 5988
H1 5982
L1 5971
L2 5965
L3 5960 LONG
L4 5943 Short breakout
L5 5915
Bank Nf Cam Levels
H5 12109
H4 11921 Long breakout
H3 11808 SHORT
H2 11771
H1 11733
L1 11658
L2 11620
L3 11582 LONG
L4 11469 Short breakout
L5 11282
Nf pivot Levels
R3 6066.43
R2 6033.72
R1 6005.13
PIVOT 5972.42
S1 5943.83
S2 5911.12
S3 5882.53
H5 6038
H4 6010 Long breakout
H3 5993 SHORT
H2 5988
H1 5982
L1 5971
L2 5965
L3 5960 LONG
L4 5943 Short breakout
L5 5915
Bank Nf Cam Levels
H5 12109
H4 11921 Long breakout
H3 11808 SHORT
H2 11771
H1 11733
L1 11658
L2 11620
L3 11582 LONG
L4 11469 Short breakout
L5 11282
Nf pivot Levels
R3 6066.43
R2 6033.72
R1 6005.13
PIVOT 5972.42
S1 5943.83
S2 5911.12
S3 5882.53
Tuesday, December 7, 2010
Update On Nf Option Hrdging Strategy
Sold 6200 Pe Jan. @ 215-252=-37
Sold 5900 Ce Jan. @ 265-228=37
Sold Nf @ 6050-6001=49
Toatal MTM- -37+37+49=49 Points
Target 200 points in 15-20 days.
Sold 5900 Ce Jan. @ 265-228=37
Sold Nf @ 6050-6001=49
Toatal MTM- -37+37+49=49 Points
Target 200 points in 15-20 days.
Nifty & Bank NF Camrilla Levels
Nf Cam Levels
Bank Nf Cam Levels
Nf Pivot levels
H5 | 6080 | ||
H4 | 6041 | Long breakout | |
H3 | 6016 | SHORT | |
H2 | 6008 | ||
H1 | 6000 | ||
L1 | 5984 | ||
L2 | 5976 | ||
L3 | 5968 | LONG | |
L4 | 5944 | Short breakout | |
L5 | 5904 |
Bank Nf Cam Levels
H5 | 12471 | ||
H4 | 12281 | Long breakout | |
H3 | 12166 | SHORT | |
H2 | 12128 | ||
H1 | 12090 | ||
L1 | 12013 | ||
L2 | 11975 | ||
L3 | 11936 | LONG | |
L4 | 11821 | Short breakout | |
L5 | 11632 |
Nf Pivot levels
R3 | 6134.98 |
R2 | 6102.22 |
R1 | 6047.23 |
PIVOT | 6014.47 |
S1 | 5959.48 |
S2 | 5926.72 |
S3 | 5871.73 |
Monday, December 6, 2010
Nifty option Hedging Strategy (Regular Strategy)
Short 6200 Pe Jan. @ 215
Short 5900 Ce Jan. @ 265
Total Premium recived 480 points.
Long Nf above 6100
Short Nf below 6050
Target 200 points in 15-20 days.
Short 5900 Ce Jan. @ 265
Total Premium recived 480 points.
Long Nf above 6100
Short Nf below 6050
Target 200 points in 15-20 days.
Nf & Bank Nf Camrilla Levels
Nf Cam Levels
H5 6054
H4 6026 Long breakout
H3 6010 SHORT
H2 6004
H1 5998
L1 5987
L2 5982
L3 5976 LONG
L4 5959 Short breakout
L5 5931
Bank Nf Cam Levels
H5 12583
H4 12476 Long breakout
H3 12413 SHORT
H2 12392
H1 12370
L1 12328
L2 12307
L3 12286 LONG
L4 12222 Short breakout
L5 12116
Nf Pivot levels
R3 6085.20
R2 6055.30
R1 6024.05
PIVOT 5994.15
S1 5962.90
S2 5933.00
S3 5901.75
H5 6054
H4 6026 Long breakout
H3 6010 SHORT
H2 6004
H1 5998
L1 5987
L2 5982
L3 5976 LONG
L4 5959 Short breakout
L5 5931
Bank Nf Cam Levels
H5 12583
H4 12476 Long breakout
H3 12413 SHORT
H2 12392
H1 12370
L1 12328
L2 12307
L3 12286 LONG
L4 12222 Short breakout
L5 12116
Nf Pivot levels
R3 6085.20
R2 6055.30
R1 6024.05
PIVOT 5994.15
S1 5962.90
S2 5933.00
S3 5901.75
Friday, December 3, 2010
Nifty option Hedging Strategy
A new Strategy
Buy 6000 Ce @ 100-110
Short 6100 Ce @ 55-60
Sl for this strategy 5965 ( Closing Basis)
Target- 6100
Maximum profit-100 points
Maximum Loss-45 points.
We are merely be in loss in this starategy if exit @ Sl.
Buy 6000 Ce @ 100-110
Short 6100 Ce @ 55-60
Sl for this strategy 5965 ( Closing Basis)
Target- 6100
Maximum profit-100 points
Maximum Loss-45 points.
We are merely be in loss in this starategy if exit @ Sl.
Nf & Bank Nf Camrilla Levels
Nf cam levels
H5 6061
H4 6039 Long breakout
H3 6025 SHORT
H2 6021
H1 6016
L1 6007
L2 6003
L3 5998 LONG
L4 5985 Short breakout
L5 5963
Bank Nf Levels
H5 12620
H4 12553 Long breakout
H3 12513 SHORT
H2 12499
H1 12486
L1 12459
L2 12446
L3 12432 LONG
L4 12392 Short breakout
L5 12325
Nf pivot levels
R3 6082.83
R2 6056.17
R1 6033.93
PIVOT 6007.27
S1 5985.03
S2 5958.37
S3 5936.13
H5 6061
H4 6039 Long breakout
H3 6025 SHORT
H2 6021
H1 6016
L1 6007
L2 6003
L3 5998 LONG
L4 5985 Short breakout
L5 5963
Bank Nf Levels
H5 12620
H4 12553 Long breakout
H3 12513 SHORT
H2 12499
H1 12486
L1 12459
L2 12446
L3 12432 LONG
L4 12392 Short breakout
L5 12325
Nf pivot levels
R3 6082.83
R2 6056.17
R1 6033.93
PIVOT 6007.27
S1 5985.03
S2 5958.37
S3 5936.13
Thursday, December 2, 2010
Thanks To Friend Alpha
I Thanks to my friend Alpha for giving me a wonderfull Site for watching volume Profile.
As per volume profile highest volume is on the levels of 6000-6005 level.
If Nf breaks from here than we may find it @ 5960 which is the high volume area of Yesterday.
I keep SAR 6020 for Nifty.
Short below it & Long above it.
As per volume profile highest volume is on the levels of 6000-6005 level.
If Nf breaks from here than we may find it @ 5960 which is the high volume area of Yesterday.
I keep SAR 6020 for Nifty.
Short below it & Long above it.
Nf view
So Target of 6030 done.
Nf made a high of 6029.65
Shorters Sl save by only .35
If now Nf cant cross 6015 it may fall into -ve after eurozone opening.
As now no strength shows Yet to hold above 6015++
One can take a short call here with sl of days high or 6020.
Its nothing technical as of now no indicator give -ve,but only overbought situation is there.
Nf made a high of 6029.65
Shorters Sl save by only .35
If now Nf cant cross 6015 it may fall into -ve after eurozone opening.
As now no strength shows Yet to hold above 6015++
One can take a short call here with sl of days high or 6020.
Its nothing technical as of now no indicator give -ve,but only overbought situation is there.
Nf & Bank Nf Camrilla Levels
Nf cam Levels
H5 6068
H4 6019 Long breakout
H3 5990 SHORT
H2 5980
H1 5971
L1 5951
L2 5942
L3 5932 LONG
L4 5903 Short breakout
L5 5854
Bank Nf Cam Levels
H5 12703
H4 12521 Long breakout
H3 12416 SHORT
H2 12381
H1 12346
L1 12276
L2 12241
L3 12206 LONG
L4 12101 Short breakout
L5 11918
Nf pivot levels
R3 6104.87
R2 6037.93
R1 5999.42
PIVOT 5932.48
S1 5893.97
S2 5827.03
S3 5788.52
H5 6068
H4 6019 Long breakout
H3 5990 SHORT
H2 5980
H1 5971
L1 5951
L2 5942
L3 5932 LONG
L4 5903 Short breakout
L5 5854
Bank Nf Cam Levels
H5 12703
H4 12521 Long breakout
H3 12416 SHORT
H2 12381
H1 12346
L1 12276
L2 12241
L3 12206 LONG
L4 12101 Short breakout
L5 11918
Nf pivot levels
R3 6104.87
R2 6037.93
R1 5999.42
PIVOT 5932.48
S1 5893.97
S2 5827.03
S3 5788.52
Wednesday, December 1, 2010
Nf view
Atlast Nf reaches 5955++ levels.
My calculation is right but I exited early,this is a mistake made by me.
Now at this juncture we have 2 side views bullish but upto yt level.I think 6010-6020 area should reach now after that a major fall can take place.
If holding long stay long with a sl of 5890,If short place a Sl of 6030.
I strongly feel that downtrend not complete yet a fall up to 5640 still pending.
My calculation is right but I exited early,this is a mistake made by me.
Now at this juncture we have 2 side views bullish but upto yt level.I think 6010-6020 area should reach now after that a major fall can take place.
If holding long stay long with a sl of 5890,If short place a Sl of 6030.
I strongly feel that downtrend not complete yet a fall up to 5640 still pending.
Nf & Bank Nf Camrilla Levels
Nf Cam Levels
H5 5989
H4 5931 Long breakout
H3 5897 SHORT
H2 5885
H1 5874
L1 5851
L2 5840
L3 5829 LONG
L4 5795 Short breakout
L5 5737
Bank Nf Cam Levels
H5 12262
H4 12119 Long breakout
H3 12035 SHORT
H2 12007
H1 11979
L1 11923
L2 11895
L3 11867 LONG
L4 11782 Short breakout
L5 11639
Nf pivot leves
R3 6037.75
R2 5965.00
R1 5913.85
PIVOT 5841.10
S1 5789.95
S2 5717.20
S3 5666.05
H5 5989
H4 5931 Long breakout
H3 5897 SHORT
H2 5885
H1 5874
L1 5851
L2 5840
L3 5829 LONG
L4 5795 Short breakout
L5 5737
Bank Nf Cam Levels
H5 12262
H4 12119 Long breakout
H3 12035 SHORT
H2 12007
H1 11979
L1 11923
L2 11895
L3 11867 LONG
L4 11782 Short breakout
L5 11639
Nf pivot leves
R3 6037.75
R2 5965.00
R1 5913.85
PIVOT 5841.10
S1 5789.95
S2 5717.20
S3 5666.05
Tuesday, November 30, 2010
EXit from All longs
I exit from my all longs as Nf not able to cross 5900.
It may be a pull back rally only.
We may again see sub 5800 levels this week.
Let ready for the Final Fall.
Just bought 5900 pe with sl of 5915NS
It may be a pull back rally only.
We may again see sub 5800 levels this week.
Let ready for the Final Fall.
Just bought 5900 pe with sl of 5915NS
Nf view for today
As I mention in my morning Post Nf do exactly.
All my reason are valid for a long trade,but I book my CE early as it is BTST.
Now Rsi is giving a -ve div.
Macd is in overbought
Stochastic is also in overbouht zone.
Trail Nf longs,part book near to 5910 or hedge it with 5800 Pe.
All my reason are valid for a long trade,but I book my CE early as it is BTST.
Now Rsi is giving a -ve div.
Macd is in overbought
Stochastic is also in overbouht zone.
Trail Nf longs,part book near to 5910 or hedge it with 5800 Pe.
Nf view for today & Tomorrow
Due to bad global cues our green party has been spoilted.
My yesterday BTST NF & 5900Ce Option hits Sl @ opening.
Still I hold it with a modified sl of Yesterday Low of 5754Spot.
I hope a recovery in the afternoon or else otherwise my Sl is in the system.
Reason for this modified sl.
Nf after many days give a Higher High & Higher Low.
Rsi still above 50 & have a +ve Div.
5EMA & 26Ema are flat & near to crossover
MACD still have positive div.
My yesterday BTST NF & 5900Ce Option hits Sl @ opening.
Still I hold it with a modified sl of Yesterday Low of 5754Spot.
I hope a recovery in the afternoon or else otherwise my Sl is in the system.
Reason for this modified sl.
Nf after many days give a Higher High & Higher Low.
Rsi still above 50 & have a +ve Div.
5EMA & 26Ema are flat & near to crossover
MACD still have positive div.
Nf & Bank Nf Cam levels
H5 | 5920 | ||
H4 | 5879 | Long breakout | |
H3 | 5854 | SHORT | |
H2 | 5846 | ||
H1 | 5838 | ||
L1 | 5822 | ||
L2 | 5814 | ||
L3 | 5806 | LONG | |
L4 | 5781 | Short breakout | |
L5 | 5740 |
Bank Nf Levels
H5 | 11978 | ||
H4 | 11910 | Long breakout | |
H3 | 11869 | SHORT | |
H2 | 11855 | ||
H1 | 11842 | ||
L1 | 11815 | ||
L2 | 11801 | ||
L3 | 11788 | LONG | |
L4 | 11747 | Short breakout | |
L5 | 11679 |
Nf pivot levels
R3 | 5952.32 |
R2 | 5897.73 |
R1 | 5863.87 |
PIVOT | 5809.28 |
S1 | 5775.42 |
S2 | 5720.83 |
S3 | 5686.97 |
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