Friday, 26 April 2013

FUTURE & OPTION IN STOCK MARKET -NSE HINDI

FUTURE & OPTION IN STOCK MARKET -NSE
फ्यूचर्स एंड आप्शन्स  
FUTURE & OPTION (EASY STUDY IN 5MINUTES)click the above link for detail video

फ्यूचर्स एंड आप्शन्स कभी शेयर ट्रेडिंग की नई प्रणाली हें । चूंकि                                                                                                  
इसमें बड़े पैमाने पर ही काम अत: बड़े नुकसान या फायदे की सम्भावना बनती बनती हें । हर टर्मिनल पर एक स्क्रीन NSE -BSE की और एफ एंड ओ की स्क्रीन होती है .
फ्यूचर में फिलहाल तीन सौ से ज्यादा स्क्रिप्स है जिनमे बहुत ज्यादा वॉल्यूम होता है । 
केश मार्केट में आप सौ या दो सौ -पाँच सौ क्वांटिटी ट्रेड करते है .लेकिन ऍफ़ & ओ में लॉट की साइज़ फिक्स होती है। 
स्टॉक का प्राइस ज्यादा है तो लोट साइज़ छोटा है जैसे infy(2 4 0 0 ) का लॉट 1 2  5 का है .जबकि ifci(2 0 ) का लॉट 1 3 0 0 0 का है । 
लॉट की कुल वैल्यू का 1 5 % मार्जिन मनी लगता है । फ्यूचर में ब्रोकरेज 0. 0 3 % इंट्रा डे वाली लगती है । ऑप्शन -कॉल या पुट में 5 0 /लॉट ब्रोकरेज लगती है । 
फ्यूचर में ट्रेडर लास्ट थर्सडे (गुरुवार) तक रुक सकता है । महीने की लास्ट गुरुवार एक्सपायरी का दिन होता है। 
यदि अभी अप्रैल चल रहा है तो हमको ट्रेडिंग के लिए अप्रैल, मई  और जून की सीरीज अवेलेबल है । अप्रैल में एक महीने से कम और जून में तीन माह का टाइम मिल जाता है । 
अप्रैल का फ्यूचर सेल करके मई का फ्यूचर खरीदना पड़े तो इसे  रोल ओवर कहते है । डे टू डे लास /प्रॉफिट के चेक देना होता है ,जो मार्क टू मार्किट मार्जिन कहलाता है । 


PANKAJ JAIN
MONEYGURU
STK/COMMODITY TRAINER
09754381469
09406826679
09713266391
WWW.SPEEDERANING.IN
WWW.SMALLSTOPLOSS.IN

NICKEL,GOLD,CRUDE TRADING IN MCX


TRADING STRATAGY FOR A BAD DAY


It was a very volatile day

We sent some tips with very small sl to start, bcoz many trader start trade within first 5 min.
Silver opened@53600 went 53950. We gave buying@ 55900 & gave 2 sl @55800.we told clearly that if it breaks,short sell silver.if u were not clear,then call us.a few trader called us.silver suddenly slipped,it doesn't give time.
Silver made low53200,gave 600 pt profit from ur double stoploss@55800.we told silver is not strong.it was weak positionally.

Some called lead sl hit -400 crude sl hit -800 nickel sl hit-800.we told them to acccept it.
If day is rangebound,then evening remains rocking.don't be imotional with stop losses.our 4 stop losses will be recovered in single trade.

See what nickel & zinc gave in evening. 1500 profit aginst morning sl-400.
Nickel & gold,crude gave 20pt vs 4pt sl,400pt vs 25pt sl,70pt vs 20pt sl.
Small trader stop working after 3 consecutive stop losses.

You should be prepared for trend reversal,otherwise traders kept selling crude from 4210 to 4300 but did not buy it.why.
We shall give u calls today only after clarity.one who want to trade before that may call us for levels & direction.

PANKAJ JAIN
MONEYGURU
STK/COMMODITY TRAINER
09754381469
09406826679
09713266391
WWW.SPEEDERANING.IN
WWW.SMALLSTOPLOSS.IN

Thursday, 25 April 2013

NIFTY COMMODITY MCX TRADING IN TIGHT RANGE


TRADING IN TIGHT RANGE
A TIGHT RANGE STORY IN MCX -1 NOV2011

Mkt was not mving since last 30hrs.
on 31 st oct ,silver moved hardly in 400-500pt and copper in just 3-4rs.
In such time hyper active traders get very frustrated.If they are hitting stoplosses,then a big despair is there.
So,IT IS NOT IMPORTANT THAT HOW MANY TRADE ARE YOU PUNCHING WITH EVERY UP & DOWN.
CAN YOU SIT FREE WITHOUT OPENING A TRADE FOR 4-5 HRS?
THE MOST IMPORTANT LESSON TO BE STILL UNDER YOUR OWN CONTROL IN FREQUENT MARKET WAVES.
After 30 hrs of 2-3 day trading,finally range broke and there was a heavy fall in all mkt.
We sent message to wait for right time & cautioned about upcoming big move.
Now what is this right time?
When you have solid reason to open a trade?
Means sellers doubled than buyers. silver slipped from +0.5% to -0.5%. Data@2pm has been seen. stop loss level is reasonable.THAT'S ALL.
but for hyper trader it is almost impossible to sit without trade. So what is the solution?
We gave silver buy@ 56600sl 56400gold sell@27440sl27500 call in morning.
Booked silver @56900 and gold@27420 in next dip.
It gave small profit till clarity.
We suggest 1000/- every hr with hedging.
In morning buyers were more in silver & copper, so they tried to go up slightly.
We gave buy call in silver@56800sl 56580(-220pt)
In afternoon suddenly seller increased & sl hit.
After confirming for a while, we sold same silver with 300pt sl on every jump & booked in dips.
GOT 1500PT TILL -4.5% IN EVENING LOWER CKT.
then it was logical to reinvest 200 pt sl for buying in dip.bought@54250
jumped upto 55800.traders took 400 to 1200pt as their appetite.
IF SOMEONE SOLD @54000 AT-4% THEN HE HAD TO BEAR SUDDEN LOSS OF 1500PT.
Such mistake is common in momentum.
That's why you need a serious advise after each profit/loss.
PANKAJ JAIN
MONEYGURU
STK/COMMODITY TRAINER
09754381469
09406826679
09713266391
WWW.SPEEDERANING.IN
WWW.SMALLSTOPLOSS.IN

SILVER TRADING IN MCX


HOW TO TRADE IN SILVER?

SILVER IS MOST TRADED COMMODITY IN MCX.
THERE ARE LOTS OF 3 TYPES-
SILVERMICRO 1KG, SILVERMINI 5KG & SILVER 30KG.
GENARAL MOVEMENT FOR 15-16DAY -1 TO +1%
EXTREME MOVEMENT 4-5 DAYS         -4 TO +4%
STOPLOSS RANGE 250 TO 750 PT
WHEN MKT OPENS, WATCH 4 MAIN THINGS-
COMDEX IS PLUS OR MINUS & GOING UP OR DOWN.
IS IT ABOVE OR BELOW WTD AVERAGE?
PREVIOUS 5 DAY MOVE OF SILVER (OHLC CHART)
NUMBER OF BUYERS OR SELLERS.
IF SILVER HAS SHOWN VERY BIG MOVEMENT IN 2-3 DAYS, THEN IT WILL REMAIN RANGEBOUND FOR NEXT 4-5DAYS.
THERE WAS 15% FALL IN SILVER IN SEP11 END,NOW IT IS MOVING BETWEEN 49 TO 54 SINCE 20 DAYS.
WHEN IT FELL FROM 62K TO 46K, THERE WAS NEWS SPREAD ALL OVER THAT IT WILL GO 35000.
VICEVERSA WHEN IT ROSE 75K, THERE WAS NEWS TO TOUCH 1 LAC HIGH.THAT WAS THE BIGGEST REASON FOR HUGE LOSS TO POSITIONAL TRADERS.
WHEN SILVER MAINTAINS ABOVE 1.5% & BUYERS ARE MORE, THEN IT WILL TRY TO GO UP.
JUST OPPOSITE WILL BE APPLIED IN MINUS MKT.
0.5% ,1.5% & 2.5% ARE IMPORTANT LEVELS FOR PROFIT BOOKING.
10.30 TO 1, 3 TO 5 & 8TO10PM ARE 3 SUITABLE SOLTS TO ENTER & CLOSE A TRADE.
AT 2 PM DATA COMES & SUDDEN REVERSAL POSSIBLE.6TO 8 GLOBAL MKT OPENING CREATES MORE VOLATILE SCENE.
KEEP BOOKING SMALL PROFITS 200 TO 500PT IN MINI VOLUMES.
BIG TGTS ACHIEVED AFTER 8PM IN EVENING,SO WE CAN GO FOR MULTIPLE LOTS THERE.
IF U ARE CAPABLE OF 5 KG,THEN IT IS GOOD TO BUY & SELL 5 MICRO.
SO THAT YOU CAN GET COST AVERAGING & PARTIAL PROFIT BOOKING.
BE FLEXIBLE IN VOLUMES,SOMETIMES GO FOR 2-3MICRO IN BAD MKT & SOMETIME GO FOR 2-3 MINI IN GOOD MKT.
MONEYGURU
PANKAJ JAIN
www.speedearning.in
www.smallstoploss.in
09754381469
09713266391
09406826679

Friday, 5 April 2013

100% SAFE IN EVEN LOWER CIRCUIT MCX MARKET


3 types of hedging

hedge means protection of capital.
So, when there is confusion,
we place trade in both directions till clarity with definite stop losses.
Generally traders know about hedging but not enough.
It is must to know
how & when to open hedging and how to close?
3 main type of hedging are-
1. Intra commodity hedging- hedging within same commodity
buy silver january and sell silver december with 300 pt sl.
this is safe.
2.intra sector- hedging within same sector but different commodities.
say buy goldm 28800 sl 28650
sell silvermini 56000 sl 56380
buy copper 406 sl 404 sell nickel 940sl 948 RISK-2000 IN BOTH
LEADMINI & ZINCMINI WITH 1/- SL
During day time book small tgt in both sides.
big tgt are possible frm 6to10pm in evening.
3.INTER SECTOR- hedgng in different sector .it is more risky
when it is clear that mkt is red.
sell gold and sell nickel
when mkt is clear green
buy gold and buy nickel
or buy silver & buy copper
when in confusion,
buy strong bullion
sell weak base metal (accoding to buyer/seller ratio)
IT becomes dangerous bcoz sometimes sl in both sides hit.
When comdex is less than +30 or -30pt
bullion goes up & base metal take breather.then vice versa.
When comdex is more than +50 or -50pt
all commodity goes bullish or bearish in the same time.CALLED ALLROUND BULLISHNESS/BEARISHNESS.
IN SUCH MKT,
buy in each dip & sell on each jump.@5.55/6.55/7.55/8.55/9.55pm.
or sell on each jump in all commodity but with small strict sl,book small profit very fast.
PANKAJ  JAIN
THE MONEYGURU
9754381469/9406826679