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- Последний пост
- 15 авг.
- Последнее чтение
- 15 авг.
- Постов за неделю
- 24
- Всего постов
- 30
- Тип
- открытый
- Язык
- английский
- В каталоге с
- 13 авг.
- 1/24сутки в ленте
- 78
- 1/48двое суток
- 89
- 1/72трое суток
- 96
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Посты
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https://www.instagram.com/p/Db_HwBmDD8J/?img_index=7&igsh=MXVhODA0MTg0dWFiZw==
I'm still holding OTM negative delta strangle. Upmove took away my +0.80% profit & currently at BE. Price action is showing bullish trend but I'm not confident hence taking it easy
Exited. view went wrong.
nifty looks sideways, bn is weak hence I'm negative delta
Sell side Liq is also taken so wait for next move. If dsnt come down then market may remain sideways to bullish
PERFECT lIQUIDITY HUNT IN bn & FELL TO DAY LOW. Now it shdnt bounce if market is weak it should continue down
BN took day high liquidity. Agar geerna hai toh yahi place hai. Lets see
I'm bearish on nifty
3 to 80.... This reminds of Jane street days.... Hence i say exit before 3.20. As option seller safety of capital is more important than compounding....
Hope you're closing in green. The pullback ruined otherwise it was good bearish day. I'm closing at +0.95%🟢
Back in Green. This upmove took every bears SL. I knew it would hunt SL but i didn't expect pullback to 78000 level
my view is still bearish. so sold OTM calls
exit in loss. I'm down 0.80% from 1.6% profit
Making W & all. I'm still bearish. Little cautiousbut still same view. Lets see
On expiry days I prefer strangles. If I'm bearish then my trade will be high delta negative. For eg. my Call premium can be 4X of Put premiums that I'll sell
Bearish on sensex
i have taken a bull call ratio spread in which i buy 24500 call & sell more quantity of 23600 call expecting nifty to expire in range of 24500-600
bank is getting stronger. exit call short
136pts good premium. Sold OTM calls. I was waiting for bounce to sell but Nifty is falling without retrace