Index's Options Position Trading Strategy Recommendation 30 JUL 2013
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Index's Option call or put only
From 30 JUL 2013
Holding NIFTY-PE-5700 P/L: 1085.00
Index's Option call and put (STRADDLE)
Waiting for right time to enter, stay tuned
From 8 APR 2013
We will keep you updated, stay tuned.
* Invest only that much you can afford to loose.
Brokers and Sub brokers may contact us for getting our recommendation for their clients as well placing their ads on our blog page or website by simply clicking on our logo under the heading SmartInvestor on the Right Side Bar.
Index's Option call or put only
From 30 JUL 2013
Holding NIFTY-PE-5700 P/L: 1085.00
Date | INSTRUMENT | LONG/SHORT | Inv. | P/L | Net Equity |
10000.00 | |||||
30-Jul-13 | NIFTY-PE-5700-29AUG2013 | LONG | 2570.00 | 1085.00 | 11085.00 |
Initial Investment | 10000.00 | |
Return | 1085.00 | |
Net Equity | 11085.00 | |
P/L(%) | 10.85% | |
Max. Drawdown(%) | -5.43% |
Index's Option call and put (STRADDLE)
Waiting for right time to enter, stay tuned
From 8 APR 2013
Investment Amount | 50000.00 | 100.00% | |
Max Investment in each call | 5000.00 | 10.00% | |
Net (P/l) | 12532.50 | 25.07% | |
Max Draw Down | -2902.50 | -5.81% | |
TOTAL TRADES | 11.00 | 100.00% | |
Loss | 2.00 | 18.18% | |
Profit | 9.00 | 81.82% |
We will keep you updated, stay tuned.
* Invest only that much you can afford to loose.
Brokers and Sub brokers may contact us for getting our recommendation for their clients as well placing their ads on our blog page or website by simply clicking on our logo under the heading SmartInvestor on the Right Side Bar.
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