Friday, May 07, 2021

Daily/ Weekly Performance Report- Equity/Index Future Calls Dated 3 -- 7 May 2021. Visit: http://www.ibnservices.in/ or http://ibnservices.blogspot.com or http://nse-bse.blogspot.com or http://mcx-ncdex.blogspot.com

Daily/ Weekly Performance Report- Equity Online/ BTST/ Options / Nifty (Cash / Derivative) Dated 3--7 May 2021

      Visit at: http://nse-bse.blogspot.com TO VERIFY THE CALLS YOURSELF

We will count 2 lots in all calls for our performance report, as we advise to trade with min. 2 lots.

Scripts

Date

Type

Action

Entry

Target

Net P/L

Qty

Min Profit

Max Pro/ Loss

Daily Performance Report- Equity Future Calls

LT

03-May

Intra-Day

BUY

1333

1333

0

1150

0

0

INDIGO

03-May

Intra-Day

SELL

1640

1660

-20

1000

-20000

-20000

VOLTAS

30-Apr

BTST

BUY

964

944

-20

500

-10000

-10000

RELIANCE

04-May

Intra-Day

SELL

1972

1928

44

500

11000

22000

DRREDDY

04-May

Intra-Day

SELL

5205

5120

85

250

7500

21250

NO CALL

03-May

STBT

SELL

0

0

0

0

0

0

HINDUNILVR

05-May

Intra-Day

SELL

2430

2400

30

600

18000

18000

INDIGO

05-May

Intra-Day

SELL

1660

1646

14

1000

14000

14000

BAJAJFINSV

29-Apr

Intra-Day

SELL

10850

10950

-100

125

-12500

-12500

M&MFIN

04-May

BTST

BUY

159

156

-3

4000

-10000

-10000

KOTAKBANK

06-May

Intra-Day

SELL

1791

1770

21

800

16800

16800

INFY

06-May

Intra-Day

SELL

1372

1365

7

1200

7980

7980

BAJAJFINSV

05-May

STBT

SELL

11200

11060

140

125

17500

17500

KOTAKBANK

07-May

Intra-Day

SELL

1811

1780

31

800

12800

24800

INDIGO

06-May

STBT

SELL

1674

1640

34

1000

13200

34300

PVR

06-May

STBT

SELL

1143

1153

-10

814

-8140

-8140

 TOTAL PROFIT/ LOSS IN RS.

58140

115990

Daily Performance Report- Option Call

LT CE 1400

03-May

Option

BUY

20.0

24.0

4.0

1150

4600

4600

BAJAJFINSV PE 10000

04-May

Option

BUY

90.0

110.0

20.0

250

5000

5000

PVR PE 1000

05-May

Option

BUY

22.0

27.0

5.0

814

4070

4070

BAJAJFINSV PE 10000

06-May

Option

BUY

80.0

81.0

1.0

250

250

250

BAJAJFINSV PE 10000

07-May

Option

BUY

74.0

77.3

3.3

250

825

825

 TOTAL PROFIT/ LOSS IN RS.

14745

14745

Daily Performance Report- Positional Call (Cash/ Deriv)

NIFTY

28-Apr

Positional

SELL

14800

14480

320

150

48000

48000

BANKNIFTY

28-Apr

Positional

SELL

33200

32100

1100

50

55000

55000

RELIANCE

26-Apr

Positional

SELL

2000

1953

47

500

23500

23500

RELIANCE CE 2060

30-Apr

Positional

BUY

55

33

-22

500

-11000

-11000

MARUTI

03-May

Positional

BUY

6600

6750

150

200

30000

30000

 TOTAL PROFIT/ LOSS IN RS.

145500

145500

 NET TOTAL PROFIT/ LOSS IN RS.

218385

276235

Daily Performance Report- Nifty/ Bank/ CNXIT Calls

NIFTY

03-May

Intra-Day

SELL

14720

14695

25

150

3750

3750

BANKNIFTY

03-May

Intra-Day

SELL

32600

32615

-15

50

-750

-750

BANKNIFTY

03-May

Intra-Day

SELL

32420

32200

220

50

11000

11000

NIFTY

03-May

Intra-Day

SELL

14590

14570

20

150

3000

3000

NIFTY

04-May

Intra-Day

SELL

14760

14660

100

150

15000

15000

BANKNIFTY

04-May

Intra-Day

SELL

32950

32800

150

50

7500

7500

BANKNIFTY

04-May

Intra-Day

SELL

33044

33044

0

50

0

0

NIFTY

04-May

Intra-Day

SELL

14730

14600

130

150

12000

19500

BANKNIFTY

04-May

Intra-Day

SELL

33100

32500

600

50

15000

30000

NIFTY

05-May

Intra-Day

SELL

14630

14630

0

150

0

0

BANKNIFTY

05-May

Intra-Day

SELL

32800

32300

500

50

15000

25000

BANKNIFTY

05-May

Intra-Day

SELL

33000

32815

185

50

9250

9250

NIFTY

06-May

Intra-Day

SELL

14730

14680

50

150

7500

7500

NIFTY

06-May

Intra-Day

SELL

14740

14731

9

150

1350

1350

BANKNIFTY

06-May

Intra-Day

SELL

33070

32850

220

50

11000

11000

NIFTY

07-May

Intra-Day

SELL

14880

14820

60

150

9000

9000

BANKNIFTY

07-May

Intra-Day

SELL

33300

33050

250

50

12500

12500

 TOTAL PROFIT/ LOSS IN RS.

132100

164600

 TOTAL NIFTY & BANK NIFTY POINTS GAIN

 

2504

 GRAND TOTAL DAILY PROFITS (ALL KIND OF CALLS) IN RS.

350485

440835

 NET PROFIT {Deducting 10% (from Profit) for Price Diff in Trading + Brok + Taxes}

315437

396752

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