OUR PAST PERFORMANCE FOR THE MONTH MAR'2012...aakarmoney.com
NET PROFIT IN MAR'2012 RS. 32725/- |
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Strategy |
DATE | SCRIPT | INVESTMENT (Approx.) | MAX.RISK | PROFIT /(-)LOSS | |
16 | 26-03-2012 | Bought Nifty(50) Mar 5300call at 27. | 1350/- | 1350/- | -1350 | End call value at 0. |
15 | 23-03-2012 | Sold DLF(1000)Mar 200 call at 3.40 and | 32000/- | 2000/- | 7400/- | Book Profit on 29-03-2012, As DLF close at 198.30. |
Sold DLF(1000)Mar 190 put at 4. | (Margin) | |||||
SL of both at 9.40. | ||||||
14 | 23-03-2012 | Bought Nifty(50)Mar 5300 call at 42. | 2100/- | 2100/- | 1450/- | Book Profit on 23-03-2012,Sold call at 71. |
13 | 19-03-2012 | Bought Rcom(4000)Mar 95call at 1.45 | 5800/- | 5800/- | 4600/- | Book Profit on 22-03-2012,Sold call at 2.60. |
12 | 16-03-2012 | Bought Nifty(50)Mar 5500call at 82 and | 0/- | 0/- | 1700/- | Book Profit on 20-03-2012,Sold put at 249 and Hold call. |
Bought Nifty Mar 5500 put at 133. | call end at 0 Value | |||||
11 | 13-03-2012 | Bought CoalIndia(1000) Mar 320put at 4.60 | 4600/- | 4600/- | -4600 | Expiry at 0 value. |
10 | 13-03-2012 | Bought Nifty(50)Mar 5400put at 85. | 4250/- | 4250/- | 2000/- | Book Profit on 16-03-2012,Sold put at 125. |
9 | 12-03-2012 | Bought DenaBank(4000)Mar 90put at 2.75 | 11000/- | 4000/- | 4200/- | Book Profit on 16-03-2012,Sold put at 3.80. |
8 | 07-03-2012 | Bought Sail(2000)Mar 95call at 4.15 SL 2.15 | 8300/- | 4000/- | 2300/- | Book Profit on 12-03-2012,Sold call at 5.30 |
7 | 05-03-2012 | Bought Nifty(50) Mar 5400call at 125 | 6250/- | 1000/- | -500 | Book Loss on 12-03-2012,Sold call at 115. |
6 | 05-03-2012 | Bought IndianHotel(4000)Mar 70call at2.80 SL 1.90 | 11200/- | 3600/- | -3600 | Book Loss on 06-03-2012, SL Triggered. |
5 | 02-03-2012 | Bought Nifty(50) Mar 5400call at 145 SL 125. | Intraday. | 1000/- | 1300/- | Book Profit on 02-03-2012,Sold call at 171. |
4 | 01-03-2012 | Bought ChamblFert(2000)Mar 90call at 5.10and | 18000/- | 18000/- | 2000/- | Book Part Profit on 07-03-2012,Sold put at 10. Hold Call. |
Bought ChamblFert Mar 85put at 3.90 | call end at 0 Value. | |||||
3 | 01-03-2012 | Bought Suzlon(8000)Mar 30call at 1.55 SL=1. | Intraday. | 4400/- | 8000/- | Book Profit on 01-03-2012,Sold call at 2.55. |
2 | 28-02-2012 | Bought ICICIBK(250)Mar 900put at 34.50 |
8625/- |
3625/- | 3375/- | Book Profit on 01-03-2012,Sold put at 48. |
SL=20. | ||||||
1 | 27-02-2012 | Bought CoalIndia(1000)Mar 320call at 12.55 |
12555/- |
3500/- | 4450/- | Book Profit on 29-02-2012,Sold call at 17.. |
StopLoss SL=9.50. |