BUY 1 LOT FEDEALBK 85 PUT @ 1.1-1.15 TARGET 1.5-1.6
BUY 1 LOT GUJGASLTD 450 PUT @ 11 TARGET 14
BUY 1 LOT KOTAKBANK 1700 PUT @ 29-30 TARGET 39-40
BUY 1 LOT FEDEALBK 85 PUT @ 1.1-1.15 TARGET 1.5-1.6
BUY 1 LOT GUJGASLTD 450 PUT @ 11 TARGET 14
BUY 1 LOT KOTAKBANK 1700 PUT @ 29-30 TARGET 39-40
TIPS GIVEN IN TODAY'S POST TO CHECK VISIT http://optioncallputtradingtips.blogspot.com/2022/06/option-call-ut-tips-for-10-june-2022.html
KOTAKBANK 1800 PUT
ACHIEVED TARGET 39-40 BUY GIVEN @ 30 PROFIT OF 4000
ACC 2100 PUT ACHIEVED TARGET 29-30 BUY GIVEN
@ 24-25 PROFIT OF 1500
BANKNIFTY 34000 16 JUN PUT ACHIEVED
TARGET 177-180 BUY GIVEN @ 145 PROFIT OF 1600
NET PROFIT 7100
JUBILANTFOOD HIT 1ST TARGET 533 BUY GIVEN @ 527
PROFIT OF 3750
COLPAL HIT 1ST TARGET 1527 BUY GIVEN @ 1512 PROFIT OF 5250
NET PROFIT 9000
BUY 1 LOT KOTAKBANK 1800 PUT @ 30 TARGET 39-40
BUY 1 LOT ACC 2100 PUT @ 24-25 TARGET 29-30
BUY 2 LOTS BANKNIFTY 34000 16 JUN PUT @ 145 TARGET 177-180
STOCK FUTURE CALL BUY JUBILANTFOOD 2 LOTS ABOVE 527 TG 533/539 SL 520
STOCK FUTURE CALL BUY COLPAL 2 LOTS ABOVE 1512 TG 1527/1542 SL 1495
OPTION CALL PUT & STOCK FUTURE TIPS GIVEN IN TODAY'S POST TO CHECK VISIT http://optioncallputtradingtips.blogspot.com/2022/06/option-call-put-tips-for-8-june-2022.html
NIFTY 16600 9 JUN
CALL ACHIEVED TARGET 54-55 BUY GIVEN @ 34-35 PROFIT OF 2100
COALINDIA 210 CALL ACHIEVED TARGET 3.2 BUY
GIVEN @ 2.2-2.3 PROFIT OF 4300
RECLTD 120 CALL ACHIEVED TARGET 2.7
BUY GIVEN @ 1.9 PROFIT OF 4800
NET PROFIT 11200
TATASTEEL ACHIEVED 1ST TARGET 1039 BUY GIVEN
@ 1027 PROFIT OF 5100
TATACHEM ACHIEVED 1ST
TARGET 937.50 BUY GIVEN @ 932.50 PROFIT OF 5000
NET PROFIT 10100
BUY 2 LOT NIFTY 16600 9 JUN CALL @ 34-3.5 TARGET 54-55
BUY 1 LOT COALINDIA 210 CALL @ 2.2-2.3 TARGET 3.2-3.3
BUY 1 LOT RECLTD 120 CALL @1.9-2 TARGET 2.7-2.8
STOCK FUTURE CALL BUY TATASTEEL 2 LOTS ABOVE 1027 TG 1039/1050.50 SL 1014
STOCK FUTURE CALL BUY TATACHEM 2 LOTS 932.50 TG 937.50/942.50 SL 926.50
OPTION TIPS GIVEN IN TODAY'S POST TO CHECK VISIT http://optioncallputtradingtips.blogspot.com/2022/06/option-stock-future-tips-for-7-june-2022.html
BANKNIFTY 35500 9
JUN CALL ACHIEVED TARGET 185-190 BUY GIVEN @ 150 PROFIT OF 2000
ICICIPRULI 550 PUT HIT TARGET 18 BUY GIVEN
@ 15 PROFIT OF 2250
RAMCOCEM 600 PUT HIT TARGET 25-26 BUY GIVEN
@ 19-20 PROFIT OF 5950
NIFTY 16200 9 JUN PUT HIT TARGET 54-55 BUY
GIVEN @ 40 PROFIT OF 1500
METROPILIS 1700 CALL CLOSED @ 53 BUY
GIVEN @ 58-59 LOSS OF 1000
NET PROFIT 10700
CALL π€ US ON 9039542248 OR WHATSAPP TO GET SUCH AN AMAZING TIPS IN LIVE MARKET
BUY 1 LOT METROPILIS 1700 CALL @ 58-59 TARGET 74-75
BUY 2 LOTS BANKNIFTY 35500 9 JUN CALL @ 150 TARGET 185-190
BUY 1 LOT ICICIPRULI 550 PUT @ 15 TARGET 18
BUY 1 LOT RAMCOCEM 600 PUT @ 19-20 TARGET 25-26
BUY 2 LOTS NIFTY 16200 9 JUN PUT @ 40 TATGET 54-55
OPTION TIPS GIVEN IN TODAY'S POST TO CHECK VISIT http://optioncallputtradingtips.blogspot.com/2022/06/option-call-put-tips-for-6-june-2022.html
BANKNIFTY 34500 9
JUN PUT BOOKED PROFIT NEAR 170-175 BUY GIVEN @ 120 PROFIT OF 2750
IEX 165 PUT BOOKED PROFIT NEAR 5.6-5.7 BUY
GIVEN @ 3.6-3.7 PROFIT OF 7875
VOLTAS 960 PUT BOOKED PROFIT NEAR 29 BUY
GIVEN @ 24-25 PROFIT OF 2500
DALBHARAT 1300 CALL BOOKED PROFIT NEAR 54-55
BUY GIVEN @ 39-40 PROFIT OF 4000
NET PROFIT 17125
BUY 2 LOTS BANKNIFTY 34500 9 JUN PUT @ 120 TARGET 170-175
BUY 1 LOT IEX 165 PUT @ 3.6-3.7 TARGET 5.6-5.7
BUY 1 LOT VOLTAS 960 PUT @ 24-25 TARGET 29-30
BUY 1 LOT DALBHARAT 1300 CALL @ 39-40 TARGET 54-55
TO GET SUCH EXCITING CALLS IN LIVE MARKET PING ON WHATSAPP 9039542248
https://optionhedgingstrategy.blogspot.com/2022/06/dixon-strangle-strategy-rocksss-10000.html
DIXON STRANGLE STRATEGY ROCKSSS 10,000 NET PROFIT BOOKED
STRATEGY GIVEN IN PREVIOUS 31 MAY 2022 POST TO CHECK VISIT https://optionhedgingstrategy.blogspot.com/2022/05/dixon-option-strategy.html
DIXON 4100 CALL CLOSED @ 50 BUY GIVEN @ 130 LOSS OF 10,000
DIXON 3700 PUT BOOKED PROFIT @ 280 BUY GIVEN @ 120 PROFIT OF 20,000
NET PROFIT OF 10,000
In Nifty's current series, short covering was seen with the price up 2.10% and OI down 8% on Wednesday, with 8.88 lakh shares of OI settled, falling from 112.81 lakh to 103 .93 lakh shares declined. Nifty's month-to-date rollover is 14% on Wednesday, while the Nifty Put Call Ratio, a sentiment indicator used by traders to gauge market sentiment and sentiment, is currently at 0.82 compared to 1, 13 over the past week, indicating a flat to negative move for the expiry. The strategy we are proposing for the weekly EXPIRY scheduled on June 9th is a bearish strategy, namely PUT LADDER, which involves buying one lot of Nifty 16,500 PUT @ 192 and selling one lot each of 16,300 PUT @ 115 & . a lot of 16,100 PUT @ 66. The maximum win of Rs 9,450/- is achieved at levels of 16,300 while the strategy loses below 15,900. The cost of the strategy includes an outflow of Rs 550/- which is the maximum loss if Nifty closes and stays above 16,490 on expiry however any stronger move on the downside could result in losses as an additional put was sold advisable exit strategy altogether to avoid UNLIMITED losses below 15,900. The strategy's break-even points are 16,489 on the upside and 15,889 on the downside.
Nifty OI Concentration