Strategy
No |
DATE |
SCRIPT |
INVESTMENT (Approx.) |
MAX.RISK |
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18 |
22-02-2012 |
Sell DLF(1000)Feb 250call at 4.70 and |
40000/- |
1000/- |
Book Loss of 1000/- Bought call at 1 and Put
at 8. on 22th Feb. |
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Sell DLF Feb 250put at 3.75. |
(AsMargin) |
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SL For Both at 8. |
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17 |
22-02-2012 |
Bought VIP(1250)Feb 130call at 2.00 |
Intraday |
1250/- |
Book Profit of 750/- on 22th Feb.Sold call
at 2.60 |
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16 |
21-02-2012 |
Bought Nifty(50)Feb 5600call at 48.20and |
3897/- |
3897/- |
Book Profit of 552,Sold put at 89 on 22th Feb.and call
expired at 0.. |
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Bought Nifty Feb 5600put at 29.75 |
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15 |
17-02-2012 |
Bought TataPower(4000)Feb120call at 1.30 |
Intraday |
5200/- |
Book Profit of 4000/- on 17th Feb.Sold call
at 2.30. |
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14 |
17-02-2012 |
Bought TataMotor(2000)Feb 290call at 3.15 |
6300/- |
6300/- |
Loss of 6300 on Expiry. |
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13 |
16-02-2012 |
Bought BHEL(1000) FEB 280call at 6 with
SL4.70 |
Intraday |
1300/- |
Book Profit of 4800/- on 16-02-2012,Sold call
at 10.80. |
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12 |
16-02-2012 |
Sold DeltaCorp(2000)FEB 85call at 3.20 and |
42000/
(AsMargin) |
600/- |
Book Profit of 6900/- on 21st Feb,Bought
call at 1.75 and Put at .50. |
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Sold DeltaCorp FEB 80put at 2.50. |
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SL FOR BOTH AT 6. |
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11 |
15-02-2012 |
Bought DLF(1000)FEB 240put at 3.40 |
3400/- |
3400/- |
Book Loss of 400,Sold put at 3 on 22th Feb.. |
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10 |
15-02-2012 |
Bought NIFTY(50)FEB 5500call at 70 and |
00/- |
00/- |
Book Profit of 1332/-.Sold Call at 123. and Hold Put..Sold
put on 22thFebat20.65 |
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Bought NIFTY FEB 5500put at 47 |
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9 |
14-02-2012 |
Bought Reliance(250)FEB 860call at 11.20 and |
5137/- |
5137/- |
Book Profit of 3112 on 16-02-2012,Sold call
at 3 and put at 30. |
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|
Bought Reliance FEB 840Put at 9.35 |
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8 |
10-02-2012 |
Bought NIFTY(50)FEB 5500call at 51 and |
0/- |
0/- |
Book Profit of 250,Sold Call at 123 and Put
expired at 0. |
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Bought NIFTY FEB 5400put at 67. |
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7 |
09-02-2012 |
Bought NTPC(2000)Feb 190call at 1.50 and |
4800/- |
4800/- |
Book loss3400/-. Sold Call at 2.60 and
Sold put at .70 on 22th Feb.. |
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Bought NTPC Feb 180put at 3.50. |
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6 |
08-02-2012 |
Bought Nifty(50) Feb 5400put at 90 |
Intraday |
4500/- |
Book Profit of 1500 on 08-02-2012,Sold put
at 120. |
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5 |
07-02-2012 |
Bought Nifty(50) Feb 5400put at 95 |
Intraday |
4750/- |
Book Profit of 1500 on 07-02-2012,Sold put
at 125. |
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4 |
06-02-2012 |
Bought SBI(125) Feb 2150call at 71 |
Intraday |
8875/- |
Book Profit of 2562 on 06-02-2012,Sold call
at 91.50. |
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3 |
02-02-2012 |
Bought Nifty(50) Feb 5300put at 105 |
Intraday |
5250/- |
Book Profit of 1950 on 02-02-2012,Sold put
at 144. |
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2 |
31-01-2012 |
Bought Infosys(125) Feb 2800 cal at 45 |
5625/- |
5625/- |
Book Profit of 1750 on 02-02-2012,sold call
at 59. |
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1 |
27-01-2012 |
Bought Banknifty(25) Feb 9900 call at 200 and |
12000/- |
12000/- |
Book Profit of 6250 on 07-02-2012,sold call
at 610 and put at 120. |
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Bought Banknifty Feb 9800put at 280 |
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