Thursday, September 11, 2014

11-09-2014

11-09-2014



11-09-2014

mAJOR trend is DOWN . Looking for short sell trade .

There is range created , thinking about buy at range low and sell at range high , but hesistate to take trade. price exit from range  and think to enter long .

Trade 1:- BPB of MSP

buy 5562 with SL 5548
exit 5584 ( price stall there not moved upside )
NET= 22 Points

Trade 2:- BPB OF BRN

Buy 5610 with SL 5598
Scratch at 5620
NET= 10 point

Trade 3:- BPB OF BRN

Short 5597 with SL 5603
SCRATCH 5594
NET= 3 point

Trade 4 :- BPB OF BRN

Buy 5607 With SL 5600
Sracth @ 5605
NET=-2 point loss

TOTAL = 33 points




Wednesday, September 10, 2014

10-09-2014

10-09-2014

WEDNESDAY- Inventory Day


10-09-2014

Price is not sustain above PDC , DRIFTS Down but could not capture intiaL move . Late entry.

Trade1:- BPB Of MSP

sHORT 5665 WITH SL 5670
Scratch trade @ 5663
NET= 2 point profit

( MISTAKE :- I want to allow frist pullback but didnt in this trade and miss downmove after pullback . Scare to take trade at days low TEST and BPB of MSP , and miss both these trades, with good movement. )

Trade 2:- BPB below dAYS LOW

sHORT 5635 With SL 5645

Scratch 5640

NET= -5 point Loss

Today is INVENTORY DAY , i am away from market on inventory movement , come back after stable market .

Trade3:- BPB of MSP

SHORT 5590 With SL 5600
SL hit @5600

NET= -10 point loss

TOTAL = -13 Point LOSS

Today around 100 Points movement completly downside . If i am on right side and holdmy position then i catch it .

MISTAKE :- In frist trade i want to allow frist pullback , i didnt it .
2ND Trade price was not accepted there it just a freak ..and i enter in the trade .

Trend is down and my all three trade are short sell and all of them are in loss cause of location to enter and patiance to hold are IMP , want to more focus on it .
Three trade and all are in loss , then stop trading for the day .



Tuesday, September 9, 2014

09-09-2014

09-09-214



Crude Oil open GAP-UP around 30 points . and sustain above open . BIAS BULLISH , looking for long trade .

Trade1:-TEST Of PDH
BUY 5659 With SL 5650
Exit @ 5695

NET= 36 point profit

There is channel after booking profit and channel with downword direction but could not reconise early and miss that dowmove , cause of BIAS was Bullish

Lesson :- Always see on the chart and trade , i see price is making lower low , but my bias was bullish .

Trade2:- BOF of PDH
Buy 5654 With SL 5648
Scratch @ 5665

NET= 11 point profit

Trade 3:- BPB Of PDH
Buy 5660 With SL 5650
Scratch @ 5673

Net= 13 Point profit

TOTAL = 60 points profit


Monday, September 8, 2014

08-09-2014

08-09-2014



08-09-2014

Major trend is down from friday . Bias is bearish , looking for short entry .

Trade1:- FTC
Short 5584 with SL 5595

Exit 5556

( Exit reason , there 5550 is RN , and price hesistate to go down thats why exit and wait if trade below 5550 then again enter in short position )

NET= 28 POINT Profit

Total=28 Points


Friday, September 5, 2014

05-09-2014

05-09-2014



Trade1:- BPB Of PDL

Short 5685 With SL 5700
Exit 5634

Total =51 point .


Thursday, September 4, 2014

04-09-2014

04-09-2014



First trading day of sept. series of my trading , not good starting of month .

04-09-2014

Crude Oil doing roller-coster since yesterday , there is no any direction just zing-zag manner.

Trade1:- BPB OF MSP

BUY 5747 With SL 5738
Scratch the trade @ 5743

NET = -4 Point Loss
This is Counter trade, thats why scartch it immediatedly when price back in the zone .

Trade2:- BPB
SHORT 5715 With SL 5723
scratch @ 5719
NET= -4 Point LOSS

TOTAL= -8 Point Loss

Happy Ganesh Chaturthi

Wish you Happy ganesh chaturthi to everyone .

Lord Ganesh fill your home with prosperity and fortune.



Happy Ganesh Chaturthi to everyone .
I am busy with ganesh festival at my native home and will not attain the market last few days , i forgot to mention here .