Trading NIFTY Technicals

Discussion in 'Futures' started by findvikas, Nov 28, 2009.

  1. findvikas

    findvikas Well-Known Member

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    As you all might already know about this new system which I have been studying on papers for quite some time now and it seem to be working and giving good results.
    I have decided to put it on REAL test with REAL money. I will start my day from Monday, 30th November 2009 with 1 lot of MINIFTY Futures

    PLEASE DO NOT FOLLOW MY TRADES AND TREAT THIS THREAD FOR EDUCATIONAL PURPOSE ONLY
    I will continue to trade with just 1 lot until I cover my entire cost of first lot, and will try to keep 50% of cash always in reserve.

    I will NOT post my trades during the day but consolidated list of all trades after the day.

    Please feel free to suggest if you find any drawbacks in this strategy and wish me luck. Hope we all get a out with a profitable yet simple system to trade on any interval or any security.
     
    Last edited: Nov 28, 2009
  2. findvikas

    findvikas Well-Known Member

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    Daily , Weekly , Monthly Profit/Loss Statement

    ......Date................Points...
    11/30/2009..............25..........
    12/01/2009............-57..........
    12/04/2009..............36..........

    12/07/2009..............32..........
    12/08/2009..............45..........
    12/09/2009..............24..........
    12/11/2009..............45..........


    Week Ending.........Points...
    12/04/2009................4..........
    12/11/2009..............146..........

    Month.....................Points...
    **December................150..........

    ** = Current Week , Current Month

     
    Last edited: Dec 11, 2009
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  3. findvikas

    findvikas Well-Known Member

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    Today's trades

    1) Short @ 5007 , Closed @ 5029 - (FORCED BOOK AFTER A SUDDEN SPIKE)

    2) Long @ 5029 , Closed @ 5033.5

    3) Short @ 5033.5 , Closed @ 5034.80

    4) Long @ 5034.80 , Closed @ 5040

    5) Short @ 5040 , Closed @ 5043

    6) Long @ 5043 , Closed @ 5060

    .... there were 4-5 trades here with just whips .... giving 1-2 points but taking more brokerage or closing at breakeven

    7) Short @ 5059.75 , Closed @ 5030

    .... again 2-3 trades here with just whips

    8) Long @ 5023 , Closed @ 5041

    9) Short @ 5040, Holding it for tomorrow



    Overall it was around 25 points after brokerage.

    Biggest gain... 29.75
    Biggest loss... 22
    Winner/Loser... 5/3
    Avg Winner/Loser size... 15/8.75



     
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  4. mayavi99

    mayavi99 Well-Known Member

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    Good luck to you Vikas on your new strategy. I hope you are using BB & RSI in your charts(along with your other chosen parameters) to time the entry and exit.
     
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  5. findvikas

    findvikas Well-Known Member

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    Not at all, I am trying to keep this system stupidly simple lets see if this system makes me stupid :)
     
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  6. Raju

    Raju Well-Known Member

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    Hello Vikas,

    So vikas u are trying a KISS ?
    "Keep it simple, stupid".

    My best wishes are with you...

    Raju
     
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  7. findvikas

    findvikas Well-Known Member

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    to compliant to the forum's rules its "Keep it stupidly simple" :)
     
    Last edited: Dec 1, 2009
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  8. findvikas

    findvikas Well-Known Member

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    Today's trades - 12/01/2009

    DID NOT DO ANY INTRADAY, BUT POSITIONAL

    Carry forward from yesterday
    1) Short @ 5040, Booked at 5108
    2) Long @ 5108, Holding it for tomorrow


    Overall it was around -57 points after brokerage.
     
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  9. findvikas

    findvikas Well-Known Member

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    Today's trades - 12/02/2009

    DID NOT DO ANY INTRADAY, BUT KEEPING POSITIONAL

    Carry forward from yesterday
    1) Long @ 5108, Still holding it


    Unrealized profit of 14 points .
     
    Last edited: Dec 3, 2009
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  10. findvikas

    findvikas Well-Known Member

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    Today's trades - 12/03/2009

    DID NOT DO ANY INTRADAY, BUT KEEPING POSITIONAL

    Carry forward from 2nd Dec
    1) Long @ 5108, still holding it


    Unrealized profit of 14 points .
     
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