Diary of Tiger

Purushotham

Well-Known Member
#24
Closing Position

Shorts
AxisBank - 1150,1170,
M&M - 903,939,939,
RCOM - 109, 105.2,113.8,112,118.8,120.5
TataMotors - 309,307,319,312,297
TCS - 1407, 1382,1407,
JSWSteel - 708,672
Sun Pharma - 925,935
Idea - 129
Hindalco - 97.2


Longs
Apollo Tyre - 62,63.5
Tata Steel - 304,294,345,354,371,275.83,266
India Cement - 76,69,66,60.7
Ranbaxy - 388,426,377.54,355.5,346,335
Ashok Leyland - 24,26,28,21.31,20.1
BankofBaroda - 639.50,622.5,603,576.5
FRL - 87
ICICI Bank - 1054,1054.8,1055
Infosys - 2420,2363,2394
IRB Infra - 111.5
TataChem - 302.5,294.25,
Jubl Food - 1064,1011,
SAIL - 54.76,
SBIN - 2053,2053,
Sterlite - 82.4,
Exide - 125.5,125.9,123.5

Options Cost = 36,750
AXISBANK 1300 Call [email protected]
AXISBANK 1240 Put [email protected]
AXISBANK 1240 Put 250@15
ICICIBANK 1000 Put [email protected]
SBIN 2100 Call 125@41
JPAssociates 60 Call [email protected]


Day 1 Score
Intraday Profit 15,150
Overnight Profit 58,626
Other Profit 22,477
Total = 96,253

MTM Profit = -10,22,912


PS: Still need to add my short positions on Maruti and HCL Tech
It seems your trading budget is huge, If so what is your previous trading experience......
 

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