Showing posts with label future option tips. Show all posts
Showing posts with label future option tips. Show all posts

Thursday 10 April 2014

TATAMOTORS STRANGLE STRATEGY ROCKS!!!!!!!!!BOOK PROFIT

Tatamotors strangle strategy
Book Tatamotors 430 call @14.50-15.
Total returns from the call =(15-9)*1000=6000

Tuesday 1 April 2014

TATAMOTORS STRANGLE STRATEGY

Buy Tatamotors 430 call @4.5
Buy Tatamotors 380 put @4.5
COST =9
RISK PER LOT = 9000
RETURN = UNLIMITED
UPPER BREAK GIVEN POINT=439
LOWER BREAK GIVEN POINT=371
Pay off table:...

Friday 14 February 2014

BOOK PROFIT IN TATASTEEL STRANGLE STRATEGY

 Tatasteel 360 put  given @  3.5 ,book profit near 8…
Total profit=(8-6.5)*1000=1500

Hope you have booked profit in strategy.

Tuesday 11 February 2014

TATASTEEL STRANGLE STRATEGY

Buy Tatasteel 420 call @   3
Buy Tatasteel 360 put @  3.5
COST =6.5
RISK PER LOT = 6500
RETURN = UNLIMITED
UPPER BREAK GIVEN POINT=426.5
LOWER BREAK GIVEN POINT=353.5
Pay off table:...

Saturday 1 February 2014

HOW TO CHOOSE A STOCK BROKER

A stock broker is a person who takes care of your investments and act as a mediator by selling and buying the shares/stocks you want. Whenever you want to buy or sell your stocks you have to put it in front of a stockbroker and hence, from there on the stockbroker takes care of the matter by following your order and placing them in the market.....

Tuesday 28 January 2014

ROCKING RCOM STRANGLE STRATEGY !!!!!!!!

Rcom strangle strategy rocks!!!!!!!!!!!!
RCom strategy update:
Book Profit in Rcom 130 Call Near 5.8
Now  book profit in Rcom 120 call Near 2.3 .
Total cost=3.2
Net profit = 9800

Thursday 23 January 2014

HOW TO BUY STOCKS FOR DIVIDEND

Financing in shares that paying for dividends is solely the greatest financial decisions a stakeholder can step to make. These funds not only present a prospect to amplify net value from growing share prices, they also can assist harmonize an investor’s income for several years. So long as an investor is scrupulous about choosing these investment options, there is meagre supplementary menace over the long-standing. Stock Dividends can be outstanding as a source of steady income, while you still get to uphold the stock shares for further income. There is also sensitivity that companies, which can pay for dividends, are usually steadier....

Friday 17 January 2014

RCOM STRANGLE STRATEGY

Buy RCom 130 call @ 1.60
Buy RCom 120 put @ 1.60
COST =3.20 
RISK PER LOT = 6400
RETURN = UNLIMITED
UPPER BREAK GIVEN POINT=133.2
LOWER BREAK GIVEN POINT=116.8
Pay off table:

Tuesday 7 January 2014

NIFTY STRANGLE STRATEGY

Buy Nifty 6100 put @55
Buy Nifty 6300 call @47
COST =102 
RISK PER LOT = 5100
RETURN = UNLIMITED
UPPER BREAK GIVEN POINT=6402
LOWER BREAK GIVEN POINT=5098
Pay off table:...

Thursday 19 December 2013

HOW TO CHOOSE STOCKS FOR DIVIDEND

Financing in shares that paying for dividends is solely the greatest financial decisions a stakeholder can step to make. These funds not only present a prospect to amplify net value from growing share prices, they also can assist harmonize an investor’s income for several years. So long as an investor is scrupulous about choosing these investment options, there is meagre supplementary menace over the long-standing. Stock Dividends can be outstanding as a source of steady income, while you still get to uphold the stock shares for further income. There is also sensitivity that companies, which can pay for dividends, are usually steadier....

Thursday 12 December 2013

BOOK PROFIT IN TATA MOTORS OPTION STRATEGY


BOOK PROFIT IN TATAMOTORS 360 PUT  GIVEN @ 3.25 NEAR 10 AND  CONTINUE TO HOLD CALL TILL NEXT FOLLOW UP.

Tuesday 19 November 2013

IBREALEST STRANGLE STRATEGY UPDATE

 IBREALEST 75 call given @ .70  book profit near 2.4-2.5.and continue to  hold the put till next follow up.

Friday 15 November 2013

IBREALEST STRANGLE STRATEGY

Buy IBREALEST 75 call @.70
Buy IBREALEST 65 put @.90
COST =1.6   
RISK PER LOT = 6400
RETURN = UNLIMITED
UPPER BREAK GIVEN POINT=76.6
LOWER BREAK GIVEN POINT=63.4
Pay off table:....

Thursday 31 October 2013

NEUTRAL STRATEGIES

Neutral options trading strategies are employed when the options trader does not know whether the underlying stock price will rise or fall. Also known as non-directional strategies, they are so named because the potential to profit does not depend on whether the underlying stock price will go upwards or downwards. Rather, the correct neutral strategy to employ depends on the expected volatility of the underlying stock price....

Thursday 10 October 2013

RELIANCE STRANGLE STRATEGY

BUY RELIANCE 840 PUT @ 14
BUY RELIANCE 900 CALL @14
COST=28
RISK PER LOT=7000
RETURN= UNLIMITED
UPPER BREAK EVEN POINT=928
LOWER BREAK EVEN POINT=812
Pay off table:...

Wednesday 9 October 2013

STOCK TRADING AND BEST STOCK ADVISORY SERVICE

Are you worried about the falling prices in stocks  Then you should not worry as you need to know how to get profit from a falling stock. Everybody has a different concept when it comes to making money in the stock market. One of the most common strategies to make money is to buy shares when the price is low and selling them at a high price when it rises. This is known as stock trading.
Get A Good Survey From The Market
Know About Different Concepts
Buy And Sell Stocks

Look For A Stock Consultancy Service best one like http://www.richerconsultancy.com/

Thursday 5 September 2013

LONG BUTTERFLY STRATEGY

Short two calls at the middle strike, and long one call each at the lower and upper strike.  The upper and lower strikes (wings) must both be equidistant from the middle strike (body), and all the options must be the same expiration.
Max Loss
The maximum loss would occur should the underlying stock be outside the wings at expiration.
Max Gain
The maximum profit would occur should the underlying stock be at the middle strike at expiration. 
 Profit/Loss
The potential profit and loss are both very limited.  In essence, a butterfly at expiration has a minimum value of zero and a maximum value equal to the distance between either wing and the body.  An investor who buys a butterfly pays a premium somewhere between the minimum and maximum value, and profits if the butterfly's value moves toward the maximum as expiration approaches.....

Thursday 29 August 2013

RELIANCE STRANGLE STRATEGY UPDATE


We have booked  820 put  @ 48 earlier and booked 840 call @ 9.30 today. So net profit of 6875 is  made in this strategy .Hope you have booked this strategy.

Thursday 22 August 2013

Tuesday 13 August 2013

POSITION TRADING

POSITION TRADING: that trading method is used when the trader is going to make a decision within a given context or certain criteria while INTRADAY TRADING is strictly mechanical.
A Position Trader is going to hold his position for a long time frame from months to years. It’s really a safe way of investing with a relatively small amounts of capital.
DISADVANTAGE OF POSITION TRADING
Your trades might take months and the profits will only barely be able to cover your cost of overhead.
Day Trader:  This type of trader is more skilled and flexible as Intraday trading requires experience – lots of it – especially focusing on order entry techniques and a deep understanding of exit points as he is trying to make profits from a small change in prices with rapid trades during the trading day.
And usually he tries to close all his positions before the market closes and doesn’t leave any open positions overnight Intraday traders base their trades on strategies such as Swing trading, arbitrage, candlestick patterns and trend lines.....