One thing is clear from the Survey conducted last week.
Retailers don't maintain SL & don't have an exit plan, which causes a big drawdown.
If you are planning to become a trader, make these 2 changes:
1. Maintain & exit at SL
2. Maintain and exit 75% at the target and the remaining TSL.
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Puts are written aggressively.
Any bounce in puts is a trap. Don't enter puts unless nifty breaks 26000.
It is important to save the capital than to make money.
It will be difficult for the retailers to book the profits or exit which will big time trap.
85600 cmp @ 484. Expecting it to close at the new day low if nifty holds 26000.
26000 is a huge psychological number. Any break above should give a solid rally.
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Check this out - Best time to trade:
9:15 am-9:45 am: Momentum Trading
9:45 am-11:00 am: Directional Trading
11:00 am-1:00 pm: Sideways Trading
1:00 pm-3:30 pm: Directional Trading
10:30 am-2:00 pm: More steady price action and volume.
9:15 am-10:30 am: High Volatility
2:00 pm-3:00 pm: Volatility increase
No matter what, Time speaks more than your Edge.
Most of my bigger losses where between 11 am to 2 pm.
What about yours? Comment your thoughts for discussion.
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Oct 23: Puts are written aggressively.
Dont enter puts on dip.
Either buy calls on dip towards nifty 26050 or stay aside.
Puts entry only after strong confirmation. Ideally not today for the safe traders.
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Posted no shorts before 25620 while nifty was at 25680.
Nifty moved to 25680 --> 25780 and tested 25620 and bounced back to 25700+
Now we have an ideal trading opportunity on Monday to buy puts if Nifty breaks 25650.
Happy weekend🙂
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