Performance Report

 MAR-2019 NET PROFIT Rs.12150.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

DateEntryExitProfit/Loss
01/03/2019Bought@10919.4Sold @10919.4-3000
05/03/2019Bought@10883.7Sold @10943.79000
06/03/2019Bought@11069Sold @11049-3000
06/03/2019Short @11035Cover @11055-3000
07/03/2019Short @11071.7Cover @11091.7-3000
07/03/2019Bought@11115.8Sold @11095.8-3000
08/03/2019Short @11046Cover @11066-3000
08/03/2019Bought@11076.5Sold @11056.5-3000
11/03/2019Bought@11129.3Sold @11189.39000
12/03/2019Bought@11278.5Sold @11338.57500
13/03/2019Bought@11355.5Sold @11335.5-3000
14/03/2019Bought@11396.9Sold @11376.9-3000
14/03/2019Short @11361Cover @11381-3000
15/03/2019Bought@11427.4Sold @11487.49000
18/03/2019Bought@11541Sold @11521-3000
18/03/2019Short @11500Cover @114409000
19/03/2019Short @11480.3Cover @11500.3-3000
19/03/2019Bought@11528.5Sold @11579.57650
22/03/2019Bought@11589.6Sold @11569.6-3000
22/03/2019Short @11557.8Cover @11497.89000
25/03/2019Bought@11390.5Sold @11370-3000
25/03/2019Short @11379Cover @11399-3000
26/03/2019Bought@11411Sold @11391-3000
27/03/2019Short @11519.8Cover @11539.8-3000
27/03/2019Bought@11548Cover @11528-3000
28/03/2019Bought@11480.8Sold @11540.89000
29/03/2019Short @11657.2Cover @11677.2-3000
Total Profit12150


FEB-2019 NET PROFIT Rs.17295.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

only first two trade will attempt, all other signal will ignore 


DateEntryExitProfit/Loss
01/02/2019Bought@10910.8Sold@10890.8-3000
04/02/2019Short@10856.7Cover@10876.7-3000
04/02/2019Bought@10895.9Sold@109406615
05/02/2019Short@10924Cover@10944-3000
05/02/2019Bought@10957.3Sold@10937.3-3000
06/02/2019Bought@11038Sold@11018-3000
07/02/2019Bought@11111.2Sold@11091-3030
07/02/2019Short@11073.1Cover@11093.1-3000
08/02/2019Short@11045Cover@109859000
11/02/2019Short@10890.2Cover@10910.2-3000
11-2-2019Bought@10930.8Sold@10910.8-3000
12-2-2019Short@10895Cover@10915-3000
13-2-2019Short@10882Cover@108229000
14-2-2019Short@10773.5Cover@10793.5-3000
14-2-2019Bought@10807Sold@10787-3000
15-2-2019Short@10740Cover@106809000
18-2-2019Short@10718.8Cover@10658.59045
19-2-2019Bought@10690Sold@107509000
19-2-2019Short@10630.2Cover@10650.2-3000
20-2-2019Bought@10690.3Sold@10670.3-3000
21-2-2019Bought@10764Sold@10744-3000
21-2-2019Short@10739Cover@10759-3000
22-2-2019Short@10780.5Cover@10800.5-3000
22-2-2019Bought@10796.8Sold@10807.91665
25-2-2019Short@10805.1Cover@10825.1-3000
25-2-2019Bought@10835.7Sold@10895.79000
26-2-2019Short@10790Cover@107309000
26-2-2019Bought@10843Sold@10823-3000
27-2-2018Bought@10898.7Sold@10878.7-3000
27-2-2019Short@10857Cover@107979000
28-2-2019Short@10821.7Cover@10841.7-3000
 Net Profit: Rs. 17295.00


Jan-2019 NET PROFIT Rs.25860.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 


DateEntryExitProfit/Loss
1-1-2019Short@10871.3Cover@10891.3-3000
1-1-2019Bought@10932.8Sold@109664980
2-1-2019Short@10880Cover@10900-3000
2-1-2019Bought@10929Sold@10909-3000
3-1-2019Bought@10846Sold@10826-3000
3-1-2019Short@10793.3Cover@10733.39000
4-1-2019Short@10736Cover@10756-3000
4-1-2019Bought@10776Sold@10756-3000
5-1-2019Bought@10765Sold@10745-3000
7-1-2019Short@10854Cover@10874-3000
7-1-2019Bought@10881.8Sold@10861.8-3000
8-1-2019Bought@10814Sold@10794-3000
9-1-2019Short@10884.5Cover@10824.59000
10-1-2019Short@10864Cover@10884-3000
11-1-2019Short@10864Cover@108049000
14-1-2019Short@10756.3Cover@10776.3-3000
15-1-2019Bought@10829Sold@108899000
16-1-2019Bought@10948.9Sold@10928.9-3000
16-1-2019Short@10919.5Cover@10939.5-3000
17-1-2019Short@10932Cover@108729000
18-1-2019Short@10931.05Cover@10951.05-3000
21-1-2019Bought@10951.5Sold@10964.51950
22-1-2019Short@10923.4Cover@10937.2-2070
23-1-2019Bought@10944Sold@10924-3000
23-1-2019Short@10912Cover@108529000
24-1-2019Short@10842.4Cover@10862.4-3000
24-1-2019Bought@10868Sold@10848-3000
25-1-2019Bought@10942.6Sold@10922.6-3000
25-1-2019Short@10898.9Cover@10838.99000
28-1-2019Bought@10811Sold@10791-3000
28-1-2019Short@10759Cover@106999000
29-1-2019Bought@10687.3Sold@10667.3-3000
29-1-2019Short@10639Cover@10659-3000
30-1-2019Short@10686.2Cover@10626.29000
31-1-2019Short@10682.2Cover@10702.2-3000
31-1-2019Bought@10716Sold@107769000
                                                                                                                                                            Total Profit : Rs.25860.00

Dec-2018 NET PROFIT Rs.4410.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 


03-12-2018short@10929.3cover@10931-255
4-12-2018short@10895.4cover@10915.4-3000
4-12-2018Bought@10917.1Sold@10902.8-2145
5-12-2018short@10841.5cover@10833.81155
6-12-2018short@10726.2Cover@10666.29000
7-12-2018short@10654Cover@10674-3000
7-12-2018Bought@10686.4Sold@10666.4-3000
10-12-2018short@10561.3cover@10501.39000
11-12-2018Bought@10448.8Sold@10508.89000
12-12-2018Bought@10650.2sold@10710.29000
13-12-2018Bought@10841sold@10821-3000
13-12-2018short@10815cover@10835-3000
14-12-2018bought@10810.2sold@10790.2-3000
17-12-2018bought@10892sold@10872-3000
18-12-2018short@10856.2cover@10876.2-3000
18-12-2018bought@10888sold@10868-3000
19-12-2018short@10957.3cover@10977.3-3000
19-12-2018bought@10979.8sold@10959.8-3000
20-12-2018bought@10935.3Sold@10915.3-3000
21-12-2018bought@10974.2Sold@10954.2-3000
21-12-2018Short@10949.7Cover@10889.79000
24-12-2018bought@10784.8Sold@10764.8-3000
24-12-2018Short@10733Cover@10753-3000
26-12-2018Short@10594.9Cover@10614.9-3000
26-12-2018bought@10647.8Sold@10707.89000
27-12-2018Short@10797Cover@10817-3000
27-12-2018bought@10832Sold@10812-3000
28-12-2018bought@10892.1Sold@109102685
31-12-2018Short@10938.8Cover@109192970
                                                                                                                                    Total Profit Rs.4410.00

Nov-2018 NET PROFIT Rs.27015.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 


01-11-2018Short10405Cover@10425-3000
1-11-2018Bought10434.8Sold@10414.8-3000
2-11-2018Bought10506Sold@105669000
3-11-2018Bought10557.5Sold@10537.5-3000
3-11-2018Short10521.4Cover@10541.4-3000
6-11-2018Bought10603.8Sold@10583.8-3000
6-11-2018Short10568.4Cover@105492910
9-11-2018Bought10602.7Sold@10619.42505
12-11-2018Bought10652Sold@10632-3000
12-11-2018Short10608Cover@105489000
13-11-2018Bought10492.5Sold@10552.59000
14-11-2018Bought10674.9Sold@10654.9-3000
14-11-2018Short10643.5Cover@10583.59000
15-11-2018Short10591.7Sold@10611.7-3000
15-11-2018Bought10638.7Sold@10618.7-3000
16-11-2018Bought10671.2Sold@10651.2-3000
19-11-2018Short10707.4Cover@10727.4-3000
19-11-2018Bought10745Sold@107764650
20-11-2018Short10719Cover@10739-3000
21-11-2018Bought10680.6Sold@10660.6-3000
21-11-2018Short10649Cover@105899000
22-11-2018Bought10640.2Sold@10620.2-3000
22-11-2018Short10608Cover@105489000
26-11-2018Short10541Cover@10561-3000
26-11-2018Bought10587.4Sold@10647.49000
27-11-2018Short10604Cover@10624-3000
27-11-2018Bought10632.6Sold@10612.6-3000
28-11-2018Bought10727Sold@10707-3000
29-11-2018Bought10813Sold@108739000
30-11-2018Short10908Cover@10915-1050




OCT-2018
 
NET PROFIT Rs.42400.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

1-10-2018Bought@10955.3Sold@10935.3-3000
1-10-2018Short@10929.9Cover@10869.99000
3-10-2018Bought@10988.3Sold@10968.3-3000
3-10-2018Short@10969Cover@10989-3000
4-10-2018Short@10747.9Cover@10687.99000
5-10-2018Short@10541.5Cover@10481.59000
8-10-2018Short@10253.3Cover@10273.3-3000
8-10-2018Bought@10340Sold@104009000
9-10-2018Bought@10414Sold@10394-3000
9-10-2018Short@10355Cover@10375-3000
10-10-2018Bought@10370Sold@104309000
11-10-2018Bought@10239.9Sold@10299.99000
12-10-2018Bought@10404.2Sold@10464.29000
15-10-2018Short@10453.6Cover@10473.6-3000
15-10-2018Bought@10523Sold@10503-3000
16-10-2018Bought@10564Sold@10544-3000
17-10-2018Short@10658Cover@105989000
19-10-2018Bought@10361Sold@10341-3000
19-10-2018Short@10313Cover@10333-3000
22-10-2018Short@10335Cover@10355-3000
23-10-2018Bought@10187Sold@10167-3000
23-10-2018Short@10133.7Cover@10153.7-3000
24-10-2018Short@10237.2Cover@10177.29000
25-10-2018Short@10121Cover@1014-3000
26-10-2018Short@10081.9Cover@10101.9-3000
26-10-2018Bought@10140Sold@10120-3000
29-10-2018Bought@10109Sold@101699000
30-10-2018Bought@10275Sold@10255-3000
30-10-2018Short@10233Cover@10253-3000
31-10-2018Short@10217Cover@101579000

Total Profit: Rs.42400.00

SEP-2018 NET PROFIT Rs.29460.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

3-9-2018Short@11724.3Cover@11664.39000
4-9-2018Short@11606.5Cover@11626.5-3000
4-9-2018Bought@11642.4Sold@11622.4-3000
5-9-2018Short@11538.8Cover@11478.89000
6-9-2018Short@11515.9Cover@11535.9-3000
6-9-2018Bought@11552.5Sold@11532.5-3000
7-9-2018Bought@11562.6Sold@11622.69000
10-9-2018Short@11565.3Cover@11505.39000
11-9-2018Short@11463.9Cover@11483.9-3000
12-9-2018Bought@11353.1Sold@11333.1-3000
12-9-2018Short@11305.9Cover@11325.9-3000
14-9-2018Short@11469Cover@11489-3000
14-9-2018Bought@11516.4sold@11538.13255
17-9-2018Short@11450.7Cover@113968205
18-9-2018Bought@11434.9Sold@11414.9-3000
18-9-2018Short@11379Cover@11359-3000
19-9-2018Short@11315.4Cover@11335.4-3000
19-9-2018Bought@11355Sold@11335-3000
21-9-2018Bought@11363Sold@11343-3000
21-9-2018Short@11303Cover@112439000
24-9-2018Short@11120Cover@110609000
25-9-2018Short@10945Cover@10965-3000
25-9-2018Bought@11012Sold@10992-3000
26-9-2018Short@11099.8Cover@11039.86000
27-9-2018Bought@11081.2Sold@11061.2-3000
27-9-2018Short@11040.2Cover@10960.29000
28-9-2018Short@11020Cover@11040-3000


AUG-2018 NET PROFIT Rs.5030.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

1-8-2018Bought@11390Sold@11370-3000
1-8-2018Short@11351Cover@11371-3000
2-8-2018Short@11316.3Cover@112766045
3-8-2018Bought@11332.3Sold@11392.39000
6-8-2018Bought@11442Sold@11422-3000
6-8-2018Short@11415Cover@11421-900
7-8-2018Short@11418Cover@11424.3-945
8-8-2018Short@11410.7Cover@11430.7-3000
8-8-2018Bought@11436.8Sold@114715130
9-8-2018Short@11471Cover@11491-3000
9-8-2018Bought@11498Sold@11484-2100
10-8-2018Short@11462Cover@114354050
13-8-2018Short@11362.6Cover@11382.6-3000
13-8-2018Bought@11388.3Sold@11387-195
14-8-2018Bought@11412.6Sold@11472.69000
16-08-2018Bought@11426.8Sold@11406.8-3000
16-8-2018Short@11390Cover@11410-3000
17-08-2018Bought@11468.7Sold@11485.82585
20-8-2018Bought@11543Sold@11582.85970
21-8-2018Short@11572.2Cover@11588.3-2415
23-8-2048Short@11589.9Cover@11595-765
24-08-2018Bought@11590.4Sold@11570.4-3000
24-08-2018Short@11566.3Cover@11573-1005
27-08-2018Bought@11655Sold@116996600
28-08-2018Bought@11754Sold@11734-3000
28-08-2018Short@11722.7Cover@11742.7-3000
29-8-2018Short@11731.5Cover@11705.33930
30-8-2018Short@11678Cover@11677.745
31-8-2018Bought@11766.5Sold@11746.5-3000
31-8-2018Short@11702Cover@11722-3000

                                                                                                                                 Total Profit Rs.5030.00

JUL-2018 NET PROFIT Rs.34200.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

2-7-2018           Short @ 10668.40    Cover@10608               Profit: Rs.9000

3-7-2018           Bought@ 10657       Sold@ 10717                Profit: Rs.9000

4-7 -2018          Short@ 10684.50    Cover@10704              Loss: Rs.3000

4- 7-2018          Bought@ 10721.60  Sold@10766             Profit: Rs.4720

5-7-2018           Short@ 10756.30    Cover@ 10776.30             Loss: Rs.3000

5- 7-2018          Bought@ 10782.60  Sold@ 10762.60         Loss: Rs.3000

6- 7-2018          Bought@ 10751      Sold@10811                   Profit: Rs.9000

9-7-2018           Bought@ 10846      Sold@ 10858                Profit: Rs.1800

10-7-2018         Bought@ 10893.8   Sold@10953.8            Profit: Rs.9000

11-7-2018         Bought@ 10947      Sold@  10927                  Loss: Rs.3000

11-7-2018         Short@ 10920.30    Cover@10940.30        Loss: Rs.3000

12-7-2018         Bought@ 11010.50 Sold@ :11015.50        Profit: Rs.750

13-7-2018         Bought@ 11052.20 Sold@ 11032.20          Loss: Rs.3000

13-7-2018         Short@11013          Cover@11033              Loss: Rs.3000

16-7-2018         Short@ 11001         Cover@ 10941               Profit: Rs.9000

17-7-2018         Bought@ 10974       Sold@ 10954               Loss: Rs.3000

18-7-2018         Short@ 11051         Cover@ 10991              Profit: Rs.9000

19-7-2018         Short@ 10982         Cover@11002              Loss: Rs.3000

19-7-2018         Bought@ 11005.80  Sold@ 10985.8         Loss: Rs.3000

20-7-2018         Bought@ 10978.8    Sold@ 11038.8          Profit: Rs.9000

23-7-2018         Bought@ 11053.10 Sold@ 11033.10         Loss: Rs.3000

24-7-2018   Bought@ 11123.20 Sold@11103.20        Loss: Rs.3000

25-7-2018            no trade

26-7-2018   Bought@ 11167      Sold@ 11147             Loss: Rs.3000

26-7-2018   Short@ 11132.8      Cover@11152.8             Loss: Rs.3000

27-7-2018   Bought@ 11248.40 Cover@ 11308.4             Profit: Rs.9000

30-7-2018     Short@ 11299.20    Cover@ 11319.20            Loss: Rs.3000

30-7-2018   Bought@ 11333.8   Sold@ 11340             Profit: Rs.930.00

31-7-2018   Short@ 11307.9 Cover@11327.9          Loss: Rs.3000

31-7-2018         Bought@ 11336  Sold@ 11375              Profit: Rs.5850
                                                                                    Total Profit Rs.34200.00

JUN-2018 NET PROFIT Rs.58140.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

01-06-2018      Bought@10729.8         Sold@10709.80           Loss: Rs.3000

01-06-2018      Short@10699               Cover@10671.30         Profit Rs.4155

02-06-2018      Short@10707               Cover@10647              Profit Rs.9000

05-06-2018      Short@10563               Cover@10583              Loss: Rs.3000

05-06-2018      Bought@10609.60       Sold@10589                Loss: Rs.3000

06-06-2018      Bought@10607.60        Sold@10667.60           Profit: Rs.9000

07-06-2018      Bought@10746             Sold@10806               Profit Rs.9000

08-06-2018        Bought@10729.10      Sold@10709               Loss: Rs.3000

08-06-2018        Short@10695             Cover@10715              Loss: Rs.3000

09-06-2018       Bought@10784.20       Sold@10786               Profit: Rs.270

12-06-2018       Bought@10812.20       Sold@10848.00          Profit:Rs.5400

13-06-2018       Bought@10860.20       Sold@10840.20          Loss: Rs.3000

14-06-2018       Short@10806               Cover@10826             Loss: Rs.3000

15-06-2018      Bought@10810.50        Sold@10790.50          Loss: Rs.3000

18-06-2018      Short@10785                Cover@10805             Loss: Rs.3000

19-06-2018      Short@10735                Cover@10722             Profit Rs.1950

20-06-2018      Bought@10745.30        Sold@10788.30          Profit:Rs.6450

21-06-2018      Short@10780                Cover@10720             Profit Rs.9000

22-06-2018      Bought@10733.20        Sold@10716.80          Loss:Rs.2580

22-06-2018      Short@10716.80           Cover@10736.80        Loss: Rs.3000

25-06-2018      Bought@10811.80        Sold@10791.80          Loss: Rs.3000

25-06-2018      Short@10788.80           Cover@10759.50        Profit:Rs.4395

26-06-2018      Bought@10743.50        Sold@10803.50          Profit: Rs.9000

27-06-2018      Short@10738.20           Cover@10678.20        Profit rs.9000

28-06-2018      Short@10644                Cover@10584            Profit: Rs.9000

29-06-2018    Bought@10643               Sold@10703              Profit: Rs.9000

Total Profit Rs.58140.00



MAY-2018 NET PROFIT Rs.48430.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

2-5-2018 Short@10760.10  Cover@ 10780.10 Loss: Rs.3000

3-5-2018 Short@10701. 00 Cover@ 10721.00 Loss: Rs.3000

3-5-2018 Bought@ 10727.30 Sold@ 10707.30 Loss:Rs.3000

4-5-2018 Short@10666. 00 Cover@ 10660.00 Profit: Rs.900

7-5-2018 Bought@ 10692.20 Sold@ 10742.00 Profit: Rs.7470.00

8-5-2018 Short@10734. 00 Cover@ 10735.50 Loss: Rs.225

9-5-2018 Bought@ 10734.30 Sold@ 10774.00 Profit:Rs.5955.00

10-5-2018 Short@10768.30 Cover@ 10725.20 Profit:Rs.6465.00

11-5-2018 Short@10749.30 Cover@ 10769.30 Loss:Rs.3000

11-5-2018 Bought@ 10778.20 Sold@ 10815.80 Profit Rs.5520.00

14-5-2018 Bought@ 10842.90 Sold@ 10822.90 Loss:Rs.3000

14-5-2018 Short@10816.00 Cover@ 10807.00 Profit:Rs.1350.00

15-5-2018 Bought@ 10861 Sold@ 10921.00 Profit:Rs.9000

16-5-2018 Short@10752.80 Cover@ 10772.80 Loss:Rs.3000

16-5-2018 Bought@ 10780.80 Sold@ 10760.80 Loss:Rs.3000

17-5-2018 Short@10755 Cover@ 10695.00 Profit:Rs.9000

18-5-2018 Short@10665 Cover@ 10605.00 Profit:Rs.9000

21-5-2018 Short@10574.70 Cover@ 10542.00 Profit:Rs.4905.00

22-5-2018 Short@10524 Cover@ 10544 Loss:Rs.3000

22-5-2018 Bought@ 10557.90 Sold@ 10537.90 Loss:Rs.3000

23-5-2018 Short@10513.40 Cover@ 10453.40 Profit:Rs.9000

24-5-2018 Short@10441.50 Cover@ 10461.50 Loss:Rs.3000

24-5-2018 Bought@ 10460.80 Sold@ 10440.80 Loss:Rs.3000

25-5-2018 Bought@ 10550.00 Sold@ 10610.00 Profit:Rs.9000

28-5-2018 Bought@ 10663.40 Sold@ 10676.00 Profit:Rs. 1890.00

29-5-2018 Bought@ 10674.80 Sold@ 10654.80 Loss:Rs.3000

29-5-2018 Short@10651.00 Cover@ 10617.00 Profit:Rs. 5100

30-5-2018 Bought@ 10565.00 Sold@ 10545.00  Loss:Rs.3000

30-5-2018 Short@10549.60 Cover@ 10569.60  Loss:Rs.3000

31-5-2018 Short@10633.80 Cover@ 10653.80  Loss:Rs.3000

31-5-2018 Bought@ 10670.00 Sold@ 10730.00 Profit:Rs.9000
Total Profit Rs.5030.00

-----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

April. 2018 NET LOSS Rs.3000   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

02-4-2018 Short@10181.00 Cover@ 10201.00 Loss:Rs.3000

02-4-2018 Bought@ 10221.30 Sold@ 10271.80 Profit:Rs.7575.00

03-4-2018 Bought@ 10255.90 Sold@ 10235.90 Loss:Rs.3000

03-4-2018 Short@10211.60 Cover@ 10231.60 Loss:Rs.3000

04-4-2018 Bought@ 10299.00 Sold@ 10279.00 Loss:Rs.3000

04-4-2018 Short@10261.00 Cover@ 10201.00 Profit:Rs.9000.00

05-4-2018 Bought@ 10285.80 Sold@ 10345.80 Profit:Rs.9000

06-4-2018 Short@10326.00 Cover@ 10346.00 Loss:Rs.3000

09-4-2018 Bought@ 10397.00 Sold@ 10377.00 Loss:Rs.3000

10-4-2018 Bought@ 10433.00 Sold@ 10413.00 Loss:Rs.3000

10-4-2018 Short@10412.00 Cover@ 10432.00 Loss:Rs.3000

11-4-2018 Short@10386.00 Cover@ 10406.00 Loss:Rs.3000

12-4-2018 Bought@ 10419.20 Sold@ 10465.10 Profit:Rs.6885.00

13-4-2018 Bought@ 10488.00 Sold@ 10468.00 Loss:Rs.3000

13-4-2018 Short@10467.00 Cover@ 10487.00 Loss:Rs.3000

16-4-2018 Bought@ 10468.10 Sold@ 10528.10 Profit:Rs.9000.00

17-4-2018 Short@10528.00 Cover@ 10548.00 Loss:Rs.3000

18-4-2018 Short@10558.80 Cover@ 10578.80 Loss:Rs.3000

18-4-2018 Bought@ 10585.00 Sold@ 10565.00 Loss:Rs.3000

19-4-2018 Short@10568.80 Cover@ 10578.80 Loss:Rs.1500

20-4-2018 Short@10538.40 Cover@ 10558.40 Loss:Rs.3000

20-4-2018 Bought@ 10563.30 Sold@ 10596.00 Profit:Rs.9000.00

23-4-2018 Bought@10583.10 Sold@10582.80 Loss: Rs.45

24-4-2018 Short@10571.00 Cover@10551.00 Loss:Rs.3000

24-4-2018 Bought@10604.00 Sold@10620.00 Profit:Rs.2400.00

25-4-2018 Short@10576.20 Cover@10596.20 Loss:Rs.3000

25-4-2018 Bought@10601.50 Sold@10581.50 Loss:Rs.3000

26-4-2018 Bought@10584.00 Sold@10564.00 Loss:Rs.3000

26-4-2018 Short@10563.00 Cover@10583.00 Loss:Rs.3000

27-4-2018 Bought@10697.80 Sold@10723.90 Profit:Rs.3915.00

30-4-2018 Bought@10771.30 Sold@10783.50 Profit:Rs.1770.00

Total Profit Rs.-3000.00

-------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

March- 2018 NET LOSS Rs.7935   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

01-3-2018 Bought@10525.00 Sold@10505.00 Loss:Rs.3000

01-3-2018 Short@10485.00 Cover@10505.00 Loss:Rs.3000

05-3-2018 Short@10363.00 Cover@10360.90 Profit:Rs. 585.00

06-3-2018 Bought@10429.50 Sold@10409.00 Loss:Rs.3000

06-3-2018 Short@10398.50 Cover@10338.50 Profit:Rs.9000.00

07-3-2018 Bought@10243.60 Sold@10223.60 Loss:Rs.3000

07-3-2018 Short@10197.00 Cover@10217.00 Loss:Rs.3000

08-3-2018 Short@10201.30 Cover@10221.30 Loss:Rs.3000

08-3-2018 Bought@10239.00 Sold@10234.00 Loss:Rs. 750

09-3-2018 Short@10235.10 Cover@10255.10 Loss:Rs.3000

09-3-2018 Bought@10273.30 Sold@10253.30 Loss:Rs.3000

12-3-2018 Short@10299.00 Cover@10319.00 Loss:Rs.3000

12-3-2018 Bought@10335.50 Sold@10395.00 Profit:Rs.9000.00

13-3-2018 Bought@10448.00 Sold@10428.00 Loss:Rs.3000

13-3-2018 Short@10398.00 Cover@10378.00 Loss:Rs.3000

14-3-2018 Short@10375.10 Cover@10395.10 Loss:Rs.3000

14-3-2018 Bought@10399.00 Sold@10379.00 Loss:Rs.3000

15-3-2018 Bought@10424.90 Sold@10404.90 Loss:Rs.3000

15-3-2018 Short@10391.00 Cover@10411.00 Loss:Rs.3000

16-3-2018 Short@10313.00 Cover@10253.00 Profit:Rs.9000.00

19-3-2018 Short@10195.00 Cover@10135.00 Profit:Rs.9000.00

20-3-2018 Bought@10117.90 Sold@10177.00 Profit:Rs.9000.00

21-3-2018 Bought@10214.20 Sold@10194.20 Loss:Rs.3000

21-3-2018 Short@10169.10 Cover@10180.90 Loss: Rs. 1770

22-3-2018 Bought@10207.30 Sold@10187.30 Loss:Rs.3000

22-3-2018 Short@10170.00 Cover@10110.00 Profit:Rs.9000.00

23-3-2018 Short@9983.40 Cover@10003.40 Loss:Rs.3000

23-3-2018 Bought@10021.00 Sold@10001.00 Loss:Rs.3000

26-3-2018 Short@9985.00 Cover@10005.00 Loss:Rs.3000

26-3-2018 Bought@10021.50  Sold@10081.50 Profit:Rs.9000.00

27-3-2018 Bought@10200.20 Sold@10180.20 Loss:Rs.3000

27-3-2018 Short@10166.00 Cover@10186.00 Loss:Rs.3000

28-3-2018 Short@10115.00 Cover@10135.00 Loss:Rs.3000

28-3-2018 Bought@10136.60 Sold@10116.60 Loss:Rs.3000

Total Profit Rs.-7935.00

-----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

February. 2018 NET PROFIT Rs.69480.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout ver-2.0.0-N   *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

1-2-2018 Bought@11089  Sold@11069 Loss: Rs.3000

1-2-2018 Short@11015 Cover@10995 Loss: Rs.3000

2-2-2018 Short@10920.80 Cover@10860 Profit: Rs.9000

5-2-2018 Bought@10630.70 Sold@10705 Profit: Rs.9000

6-2-2018 Bought@10380.40 Sold@10360.40 Loss: Rs.3000

7-2-2018 Short@10575.50 Cover@10515.50 Profit: Rs.9000

8-2-2018 Bought@10487 Sold@10547 Profit: Rs: 9000

9-2-2018 10401.80 Sold@10461.80 Profit: Rs.9000

12-2-2018 Short@10515.40 Cover@10535.40 Loss: Rs.3000

12-2-2018 Bought@10525 Sold@10532.80 Profit: Rs.1170

14-2-2018 Bought@10569 Sold@10549 Loss:Rs.3000

14-2-2018 Short@10506.30 Cover@10463.30 Profit: Rs.6450

15-2-2018 Bought@10559.80 Sold@10619.80 Profit rs.9000

16-2-2018 Short@10578.20 Cover@10518.20 Profit:Rs.9000

19-2-2018 Short@10412.20 Cover@10352.20 Profit Rs.9000

20-2-2018 bought@10415 Sold@10395  Loss: Rs.3000

21-2-2018 Short@10364.20 Cover@10384.20 Loss: Rs.3000

22-2-2018 Short@10338.90 Cover@10358.90 Loss: Rs.3000

22-2-2018 Bought@10360.80 Sold@10340.80 Loss:Rs.3000

23-2-2018 Bought@10425.40 Sold@10485.40 Profit: Rs.9000

26-2-2018 Bought@10564 Sold@10596.40 Profit Rs.4860

27-2-2018 Short@10612.20 Cover@10552.20 Profit Rs.9000

28-2-2018 Bought@10498.40 Sold@10478.340 Loss: Rs.3000

28-2-2018 Short@10472 Cover@10492 Loss: Rs.3000

Total Profit Rs.69480.00


January. 2018 NET PROFIT Rs.14085.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout    *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

01-01-2018              Short@10538.30                  Cover@10556                   Loss: Rs.2700

01-01-2018              Bought@10556                    Sold@10538                      Loss: Rs.2700

02-01-2018              Short@10498                       Cover@10438                    Profit: Rs.9000

03-01-2018             Bought@10504.50               Sold@10485.10                 Loss: Rs.2910

03-01-2018             Short@10485.10                  Cover@10471.60               Profit: Rs.2025

04-01-2018             Short@10474                       Cover@10494                     Loss: Rs.3000

04-01-2018             Bought@10495                     Sold@10536                      Profit: Rs.6150

05-01-2018             Bought@10551.80               Sold@10539                       Loss: Rs.1920

05-01-2018            Short@10539                          Cover@10551.80              Loss: Rs.1920

08-01-2018            Bought@10623                        Sold@10625                    Profit:Rs.300

09-01-2018            Short@10626                          Cover@10646                   Loss: Rs.3000

09-01-2018            Bought@10654.90                 Sold@10640.90                Loss: Rs.2100

10-01-2018           Short@10632.10                     Cover@10644                    Loss:Rs.1785

10-01-2018            Bought@10644                      Sold@10632.10                  Loss:Rs.1785

11-01-2018            Short@10620.30                    Sold@10635.20                  Loss:Rs.2235

11-01-2018            Bought@10635.20                 Sold@10660                        Profit: Rs.3750

12-01-2018           Short@10680.70                     Cover@10620.70                Profit: Rs.9000

15-01-2018           Bought@10724.50                  Sold@10745                        Profit:  Rs.3075

16-01-2018           Short@10742.10                     Cover@10723                      Profit Rs.2865

17-01-2018           Short@10698.20                     Cover@10711.50                  Loss: Rs.1995

17-01-2018          Bought@10711.50                   Sold@10698.20                    Loss: Rs.1995

18-01-2018          Bought@10867                         Sold@10847                          Loss:Rs.3000

18-01-2018         Short@10842.80                        Cover@10782.80                  Profit: Rs.9000

19-01-2018         Short@10798.50                        Cover@10818.50                  Loss Rs.3000

19-01-2018         Bought@10822.50                     Sold@10882.50                    Profit: Rs.9000

22-01-2018          Short@10893.90                       Cover@10913.90                   Loss: Rs.3000

22-01-2018         Bought@10914.50                     Sold@10894.50                      Loss:Rs.3000

23-01-2018         Bought@11005                           Sold@11065                           Profit rs.9000

24-01-2018         Bought@11079.70                     Sold@11059.70                     Loss:Rs.3000

24-01-2018         Short@11057                             Cover@11077                          Loss:Rs.3000

25-01-2018        Short@11068.90                         Cover@11070                         Loss:Rs.300

29-01-2018         Bought@11129.90                     Sold@11138.20                      Profit: Rs.1245

30-01-2018         Short@11096.10                        Cover@11069.30                    Profit: Rs.4020

31-01-2018         Bought@110694.40                  Sold@11674.40                       Loss: Rs.3000

31-01-2018         Short@11030.30                       Cover@11050.30                      Loss: Rs.3000

Net Profit: Rs.14085.00

---------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

December. 2017 NET PROFIT Rs.57382.50   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout    *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

1-12-2017                          Short@10278                  Cover@10218                    Profit: Rs.9000

4-12-2017                          Short@10148.40             Cover@10168.60               Loss: Rs.3000

4-12-2017                          Bought@10179                Sold@10159.00                Loss: Rs.3000

5-12-2017                          Short@10128                  Cover@10144.50               Loss: Rs.2475.00

5-12-2017                          Bought@10144.50          Sold@10146                      Profit: Rs.225.00

6-12-2017                          Bought@10124               Sold@10104                       Loss: Rs.3000

6-12-2017                          Short@10101                  Cover@10073                     Profit: Rs.4200

7-12-2017                          Bought@10094.60           Sold@10154.60                  Profit: Rs.9000

8-12-2017                          Bought@10242.70           Sold@10290                       Profit:Rs.7095

11-12-2017                       Bought@10327.9              Sold@10314                       Loss: Rs.2085.00

11-12-2017                       Short@10314                   Cover@10327.9                   Loss: Rs.2085.00

12-12-2017                       Short@10311.20              Cover@10264                      Profit: Rs.7080

13-12-2017                       Bought@10246.80           Sold@10306.8                     Profit: Rs.9000

13-12-2017                      Short@10220                   Cover@10227                       Loss: Rs.1050

14-12-2017                      Short@10227                   Cover@10167                       Profit:Rs.9000

14-12-2017                      Bought@10254.10          Sold@10285.00                     Profit: Rs.4635.00

15-12-2017                     Short@10360                    Cover@10357                       Profit: Rs.450

18-12-2017                     Bought@10219                Sold@10279                         Profit:Rs.9000

19-12-2017                     Short@10419.15              Cover@10438                       Loss: Rs.2827.50

19-12-2017                     Bought@10438                Sold@10472                         Profit: Rs.5100

20-12-2017                    Bought@10484.00            Sold@10464.00                   Loss:Rs.3000

20-12-2017                    Short@10464.00                Cover@10484.00                Loss:Rs.3000

21-12-2017                    Short@10461.30               Cover@10457.9                   Profit:Rs.510.00

22-12-2017                    Bought@10473.40             Sold@10509.00                 Profit:Rs.5475.00

26-12-2017                    Bought@10511.75             Sold@10530.20                Profit:Rs.2767.50

27-12-2017                    Bought@10530.55              Sold@10516.65               Loss:Rs.2085.00

27-12-2017                    Short@10516.65                 Cover@10491.50             Profit:Rs.3772.50

28-12-2017                    Short@10500                      Cover@10516.40            Loss:Rs.2460

28-12-2017                    Bought@10516.40              Cover@10500                 Loss:Rs.2460

29-12-2017                    Bought@10532.00              Sold@10556.00              Profit:Rs.3600

Total Profit Rs.57382.00

-----------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

Nov. 2017 NET PROFIT Rs.36601.00   from 2 lot

Scrip: Nifty Future

Strategy: Real TF breakout    *New

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 60 Points Target

If no stop loss or target met ,close@3:29PM

Only first two trade will attempt, all other signal will ignore 

1-11-2017               Bought@ 10418        Sold@10478          Profit: Rs. 9000

2-11-2017              Bought@10468          Sell@10448           Loss: Rs.3000

2-11-2017              Short@10445             Cover@10453        Loss: Rs. 1200

3-11-2017               Short@10458            Cover@10475        Loss: Rs. 2550

3-11-2017              Bought@10475          Sold@ 10489          Profit: Rs. 2100

6-11-2017              Bought@10465          Sold@10445           Loss: Rs. 3000

7-11-2017              Short@10501             Cover@10441         Profit: Rs.9000

8-11-2017              Bought@10411          Sold@ 10395          Loss: Rs. 2400

8-11-2017              Short@10395             Cover@ 10411        Loss: Rs. 2400

9-11-2017              Short@10381.60        Cover@10321.60     Profit: Rs. 9000

10-11-2017            Short@10320             Cover@ 10340         Loss: Rs.3000

10-11-2017            Bought@10347          Sold@10327            Loss: Rs.3000

13-11-2017           Short@10331             Cover@10271           Profit: Rs.9000

14-11-2017           Bought@10259.75      Sold@10271.10       Loss: Rs. 2250

14-11-2017          Short@10244.20          Cover@10259.75     Loss:rs.2250

15-11-2017          Short@10195.10          Cover@10135.10     Profit@9000

16-11-2017          Short@10167.50           Cover@10187.50     Loss: Rs.3000

16-11-2017          Bought@10188.90        Sold@10248.90      Profit: Rs.9000

17-11-2017          Bought@10365             Sold@10385          Loss:Rs.3000

17-11-2017          Short@10331               Cover@10298         Profit:Rs. 4950

20-11-2017          Bought@10305            Sold@10321           Profit: Rs.2340

21-11-2017          Bought@10360            Sold@10348          Loss:Rs. 1800

21-11-2017          Short@10348              Cover@10351         Loss: Rs. 450

22-11-2017          Short@10374              Cover@10360         Profit Rs. 2100

23-11-2017          Bought@10369.75       Sold@10389.75     Loss: Rs.3000

23-11-2017          Short@10341.75          Cover@10361.75   Loss: Rs.3000

24-11-2014         Bought@10381             Sold@10417.90     Profit: Rs. 5535

27-11-2017          Short@10356.75           Cover@10376.55  Loss: Rs.3000

27-11-2017          Bought@10390             Sold@10423        Profit:Rs.4950

28-11-2017          Bought@10410.55        Sold@10390.55    Loss: Rs.3000

28-11-2017          Short@10383.               Cover@10373       Profit:Rs. 1950

29-11-2017          Bought@10400.75        Sold@10384         Loss:Rs. 2512.50

29-11-2017          Short@10384                Cover@10400       Loss: Rs. 2512.50

30-11-2017          Short@10306.50           Cover@10246.50   Profit: Rs.9000

Net profit: Rs.36601.00

OCT. 2017 NET PROFIT Rs.29805 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

04-10-2017 Bought@9888 Sold@9939  profit: Rs.7650

05-10-2017 Bought@9947 Sold@9991 Profit:Rs.6600

10-10-2017 Short@10017.90 Cover@10037.90 Loss: Rs,3000

11-10-2017 Bought@10065 Sold@10045 Loss:Rs.3000

11-10-2017 Short@10044 Cover@10006 Profit:Rs.5700

12-10-2017 Bought@10063 Sold@10109 Profit:Rs.6900

18-10-2017 Short@10232 Cover@10248 Loss:Rs.2400

18-10-2017 Bought@10248 Sold@10228 Profit:Rs.3000

19-10-2017 Short@10181.90 Cover@10132.50 Profit:7410

23-10-2017 Bought@10182.60 Sold@10239.00 Profit:8550

26-10-2017 Bought@10351.70 Sold@10343  Loss:Rs.1305

30-10-2017 Bought@10388.70 Sold@10386 Loss: Rs.300

31-10-2017 Short@10369.40 Cover@10369.00 Profit:Rs.60


                                                                    Net Profit Rs.29805.00

------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

Performance Report

Sep. 2017 NET PROFIT Rs.15300 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

04-09-2017      Short@9966          Cover@9923         Profit: Rs.6450

05-09-2017      Short@9916           SL                         Loss:Rs 3000

05-09-2017      Bought@9980       Sold@9975            Loss:Rs. 750

07-09-2017      Bought@9975         SL                        Loss:Rs.3000

08-09-2017      Short@9941          Cover@9945         Loss:Rs.600

11-09-2017      Bought@10010     Sold@10048          Profit: Rs.5700

13-09-2017      Short@10086       Cover@10096        Loss: Rs.1500

14-09-2017      Bought@10138         SL                      Loss: Rs.3000

14-09-2017      Short@10101            SL                      Loss@Rs.3000

14-09-2017     Bought@10125    Sold@10117            Loss rs.1200

15-09-017       Short@10080            SL                       Loss Rs.3000

15-09-2017     Bought@10113      Sold@10097          Loss Rs.2400

19-09-2017     Short@10153            SL                       Loss Rs.3000

19-09-2017     Bought@10174     Sold@10169           Loss:Rs.750

21-09-2017    Short@10148        Cover@10115         Profit: Rs.4950

21-09-2017    Bought@10139      Sold@10141           Profit: Rs.450

22-09-2017    Short@10067         Cover@10023        Profit:Rs.6600

26-09-2017    Bought@9885          SL                        Loss:Rs.3000

27-09-2017    Short@9832          Cover@9767          Profit Rs.9750

29-09-2017    Bought@9802       Sold@9847            Profit:Rs.6750

29-09-2017    Short@9814         Cover@9795          Profit: Rs.2850

                                                               NET PROFIT Rs.15300

--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

Performance Report

Aug. 2017 NET PROFIT Rs.49050 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

02-08-2017       Short@10113       Cover@10085         Profit:Rs.4200

04-08-2017      Bought@10068     Sold@10113           Profit: Rs.6750

08-08-2017      Short@10088        Cover@10040        Profit:Rs.6600

14-08-2017      Bought@9794       Sold@9808            Profit: Rs.2100

16-08-2017      Short@9791          SL                          Loss Rs.3000

16-08-2017     Bought@9833        Sold@9887            Profit: Rs.8100

18-08-2017     Short@9849          Cover@9793          Profit: Rs.8400

21-08-2017     Bought@9866       SL                           Loss: Rs.3000

21-08-2017     Short@9823          Cover@9766          Profit: Rs.8550

23-08-2017     Bought@9829       SL                           Loss:Rs.3000

23-08-2017     Bought@9841       Sold@9859             Profit: rs.2700

29-08-2017     Short@9865          Cover@9821          Profit:Rs.6600

30-08-2017     Bought@9866       Sold@ 9910            Profit@Rs.6600

31-08-2017     Bought@9896       SL                           Loss Rs.3000

                                                                NET PROFIT Rs.49050

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Performance Report

July. 2017 NET PROFIT Rs.39750 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM


03-07-2017             Bought@9510           Sold@9526             Profit: Rs.2400

04-07-2017             Short@9649              SL                           Loss Rs.3000

07-07-2017             Bought@9679           Sold@9668             Loss Rs.1650

12-07-2017             Bought@9815           Sold@9828             Profit: Rs.1950

18-07-2017             Short@9862              Cover@9852          Profit: Rs.1500

19-07-2017             Bought@9893           Sold@9923             Profit: Rs.4500

21-09-2017             Bought@9908           SL                           Loss: Rs.3000

21-07-2017             Short@9887              Cover@9833          Profit: Rs.8100

21-07-2017             Bought@9906           Sold@9911             Profit: Rs.750

27-07-2017             Short@10055            Cover@10022        Profit: Rs.4950

28-07-2017             Bought@10044         Sold@10037           Loss Rs.1050

                                                                         NET PROFIT Rs.39750

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Performance Report

June. 2017 NET PROFIT Rs.19800 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM


1-6-2017 Short@9610 Cover@9630 Loss: Rs.3000

5-6-2017 Bought@9678 Sold@9685 Profit:Rs.1050

6-6-2017 Short@9662 Sold@9682 Loss:Rs.3000

7-6-2017 Bought@9683 Sold@9663 Loss:Rs.3000

7-6-2017 Sold@9665 Cover@9685 Loss:Rs.3000

9-6-2017 Short@9663 Cover@9628 Profit Rs,5250

12-6-2017 Short@9622 Cover@9620 Profit Rs.300

13-6-2017 Bought@9640 Sold@9641 Profit Rs.150

13-6-2017 Short@9621 Cover@9608 Profit Rs.1950

14-6-2017 Bought@9634 Sold@9638 Profit Rs.600

15-6-2017 Short@9614 Cover@9598 Profit Rs.2400

19-6-2017 Bought@9636 Sold@9667 Profit Rs.4650

23-6-2017 Short@9657 Cover@9620 Profit RS,5550

29-6-2017 Bought@9539 Sold@9583 Profit Rs.6600

29-6-2017 Short@9524 Cover@9505  Profit RS.2840

30-6-2017 Bought@9510 Sold@9513 Profit Rs.450

..............................................................................................................................................................................

May. 2017 NET PROFIT Rs.15300 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

2-5-2017 Short@9300 Cover@9320 Los: Rs.3000

4-5-2017 Bought@9369 Sold@ 9381 Profit:Rs.1800

5-5-2017 Short@9341 Cover@9300 Profit:Rs.6000

8-5-2017 Bought@9343 Sold@9342 Loss:Rs.150

12-5-2017 Short@9425 Cover@9396 Profit:5100

15-5-2017 Bought@9453 Sold@9484 Profit:Rs.4650

18-5-2017 Short@9469 Cover@9489 Los: Rs.3000

19-5-2017 Short@9435 Cover@9455 Loss:Rs.3000

22-5-2017 Short@9442 Cover@9445 Loss:Rs.450

23-5-2017 Bought@9425 Sold@9405 Loss: Rs.3000

24-5-2017 Short@9389 Cover@9374 Profit:Rs.2250

25-5-2017 Bought@9408 Sold@9460 Profit:Rs.7800

Total Profit Rs.15300.00

-------------------------------------------------------------------------------------------

April. 2017 NET PROFIT Rs.15150 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

3-4-2017 Bought@9208 Sold@9237 Profit:Rs 4350

6-4-2017 Short@9240 Cover@9260 Loss: Rs.3000

6-4-2017 Bought@9274 Sold@9263 Loss:Rs.1650

7-4-2017 Short@9232 Cover@9214 Profit: Rs.2700

11-4-2017 Bought@9240 old@9265 Profit:Rs.3750

12-4-2017 Sold@9222 Cover@9180 Profit:6000

18-4-2017 Bought@9211 Sold@9192 Loss:Rs.2850

18-4-2017 Short@9192 Cover@9151 Profit:Rs.6150

21-4-2017 Short@9127 Cover@9130 Loss:Rs.450

24-4-2017 Bought@9157 Sold@9198 Profit:Rs.6150

26-4-2017 Short@9302 Cover@9322 Loss:Rs.3000

27-4-2017 Bought@9357 Sold@9337 Loss:Rs.3000

 Net Profit: 15150

------------------------------------------------------------------------------------------------------------------------------

Performance Report

Mar. 2017 NET PROFIT Rs.27525 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

1-3-2017        Bought@8946             Sold@8985            Profit: Rs.5850

2-3-2017        Short@8970                Cover@8922          Profit:Rs.7200

3-3-2017        Bought@8924             Sold@8976            Profit:Rs.7800

8-3-2017        Short@8936                Cover@8956          Loss:Rs.3000

10-3-2017      Bought@8960.50        Sold@8957             Loss:Rs.525

16-3-2017      Bought@9173             Sold@9179             Profit:Rs.900

20-3-2017      Short@9153                Cover@9155          Loss:Rs.300

22-3-2017      Short@9080                 Cover:9045           Profit:Rs.5250

23-3-17          Bought@9090              Sell@9070            Loss:Rs.3000

28-3-2017      Bought@9100              Sold@9118           Profit:Rs.2700

30-3-2017       Bought@9175             Sold@9206           Profit:Rs.4650

Net Profit:Rs.27525.00

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Performance Report

Feb. 2017 NET PROFIT Rs.17750.50 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

1-2-2017       Bought@8652            Sold@8726                Profit: Rs.11000

7-2-2017       Short@8780              Cover@8739              Profit: Rs.6150

9-2-2017       Short@8761              cover@8781              Loss:Rs.3000

9-2-2017       Bought@8799           Sold@8779                Loss: Rs.3000

13-2-2017     Short@8785              Cover@8805             Loss:Rs.3000

15-2-2017     Short@8777              Cover@8730             Profit: Rs.7050

16-2-2017     Bought@8789           Sold@8785                Loss:Rs.300

20-2-2017     Short@8813              Cover@8833              Loss: Rs.3000

20-2-2017     Bought@8848           Sold@8878                 Profit:Rs.4500

22-2-2017     Short@8904              Cover@8924              Loss:Rs.3000

23-2-2017     Bought@8948           Sold@8981                 Profit:Rs.4950

23-2-2017     Short@8936              Cover@8940               Loss:Rs.600

Net Profit Rs.17750.00

---------------------------------------------------------------------------------------------------------------------------------------------------------------------

Performance Report

Jan. 2017 NET PROFIT Rs.1777.50 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

2-1-2017     Bought@8205.50      Sold@8214          Profit Rs. 1275

3-1-2017     Bought@8235           Sold 8215            Loss Rs.3000

5-1-2017     Bought@8274           Sold@8312          Profit Rs.5700

9-1-2017     Short@8295              Cover@8296      Loss Rs.150

10-1-2017   Bought@8312.50       Sold 8322.50     Profit Rs.1500

13-1-2017   Short@8417              Covered@8437        Loss Rs.3000

16-1-2017   Bought@8448           Sold@8458.90          profit Rs.1635

17-1-2017   Short@8434                Covered@8425.55   Profit Rs. 1267.50

18-1-2017   Bought@8457             Sold@8445               Loss Rs.1800

18-1-2017   Short@8445               Covered@ 8454         loss RS.1350

19-1-2017   Bought@8469.50       sold@8449.50            Loss Rs.3000

20-1-2017   Short@8422               Covered@8387          Profit Rs.5250

23-1-2017   Bought@8434            Sold@8414                 Loss Rs.3000

23-1-2017   Short@8394               Covered@8414          Loss Rs.3000

23-1-2017   Bought@8420            Sold@8433                profit Rs.1950

30-1-2017   Bought@8678            Sold@8658                Loss Rs.3000

31-1-2017   Short@8616               Covered@8586          Profit Rs.4500

Net Profit: Rs.1777.50

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Performance Report

Dec. 2016 NET PROFIT Rs.22650.00 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

01-12-2016       Short@8212        Cover@8209         Profit: Rs.450.00

02-12-2016      Short@8110         Cover@8109         Profit: Rs.150.00

05-12-2016      Bought@8139      Sold@8173           Profit: Rs.5100.00

07-12-2016      Bought@8208      Sold@8228           Loss: Rs.3000.00

08-12-2016     Bought@8238      Sold@8252            Profit: Rs.2100.00

12-12-2016     Short@8224         Cover@8183         Profit:Rs.6150.00

13-12-2016     Bought@8209      Sold@8223           Profit:Rs.2100.00

14-12-2016     Short@8174        Cover@8194         Loss;Rs.3000

15-12-2016     Short@8175        Cover@8195         Loss;Rs.3000

21-12-2016     Bought@8120     Sold@8100           Loss:Rs.3000

21-12-2016     Short@8095       Cover@8077          Profit:Rs.2700

23-12-2016     Bought@8007     Sold@7987           Loss:Rs.3000

26-12-2016     Short@7950        Cover@7900        Profit: Rs. 7500.00

27-12-2016     Bought@7943     Sold@7986          profit; Rs.6450.00

28-12-2016     Short@8036        Cover@8033        Profit:Rs.450.00

29-12-2016      Bought@8074     Sold@8104         Profit: Rs.4500.00

Net Profit Rs.22650.00


Performance Report

Nov. 2016 NET PROFIT Rs. 9300.00 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

01-11-2016                 Short@8647             Cover@8650               Loss: Rs.450.00

07-11-2016                Bought@8540           Sold@8522                  Loss: Rs.2700.00

07-11-2016                Short@8522              Cover@8507               Profit: Rs.2250.00

08-11-2016                Bought@8544           Sold@8564                  Profit:Rs.3000.00

11-11-2016                Short@8422              Cover@8361                Profit:Rs.9150.00

16-11-2016                Bought@8205           Sold@8185                   Loss:Rs.3000.00

16-11-2016                Short@8139              Cover@8159                Loss:Rs.3000.00

18-11-2016                Bought@8124            Sold@8104                  Loss:Rs.3000.00

18-11-2016                Short@8066               Cover@8070               Loss: Rs.600.00

22-11-2016                Bought@8004            Sold@8024                  Loss:Rs.3000.00

24-11-2016               Short@7967                Cover#7987                Loss:Rs.3000.00

24-11-2016               Bought@8014              Sold@8034                  Loss:Rs.3000.00

24-11-2016               Short@7962                Cover@7965                Loss:Rs.450.00

25-11-2016               Bought@8023              Sold@8066                  Profit:Rs.9450.00

29-11-2016               Short@8175                Cover@8176                 Loss: Rs.150.00

30-11-2016               Bought@8211             Sold@8261                    Profit:Rs.7500.00

Net profit: Rs.9300.00





Performance Report

Oct. 2016 NET PROFIT Rs. 9600.00 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

03-10-2016               Bought@8682               Sold@8745              Profit: Rs.9450

06-10-2016               Bought@8810               Sold@8790              Loss: Rs.3000

06-10-2016               Short@8766                  Cover@8735            Profit: Rs.4650

13-10-2016               Short@8642                  Cover@8594            Profit: Rs.7200

14-10-2016               Short@8570                  Cover@8590            Loss: Rs.3000

18-10-2016               Bought@8587               Sold@8637               Profit: Rs.7500

19-10-2016               Short@8642                 Cover@8662             Loss: Rs.3000

19-10-2016               Bought@8677               Sold@8657               Loss: Rs.3000

21-10-2016               Sold@8675                    Cover@8695             Loss:Rs.3000

21-10-2016               Bought@8707               Sold@8704                Loss:Rs.450

25-10-2016               Short@8698                 Cover@8703               Loss: Rs.750

27-10-2016               Bought@8602              Sold@8582                  Loss:Rs.3000

                                                                                   Total Profit Rs.9600.00

Sep. 2016 NET PROFIT Rs. 13192.50 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:25PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.

01-09-2016          Short@8812.65               Cover@8832.65              Loss: Rs.3000

02-09-2016          Bought@8842.30            Sold@8843                      Profit: Rs.105      

08-09-2016          Short@8941.45               Cover@8964.45              Loss: Rs.3000

08-09-2016          Bought@8984.90            Sold@8964.90                 Loss@ Rs.3000

09-09-2016          Short@8943.55               Cover@8896                    Profit: Rs.7132.50

14-09-2016          Bought@8767.70            Sold@8747.70                  Loss: Rs.3000

16-09-2016          Short@8826                    Cover@8778                     profit: Rs.7200

21-09-2016          Bought@8836                 Sold@8837                        Profit: Rs.150

21-09-2016          Short@8815                    Cover@8807                     Profit: Rs.1200

22-09-2016          Bought@8913.95            Sold@8893.95                  Loss: Rs.3000

23-09-2016          Short@8906.25               Cover@8878.60                Profit:Rs.4147.50

28-09-2016          Bought@8796.30            Sold@8805                        Profit: Rs.1800

29-09-2016          Short@8783.90               Cover@8740.75                Profit: Rs.6457.50

                                                                                                       Total Profit: Rs.13192.50

--------------------------------------------------------------------------------------------------------------

Aug 2016 NET PROFIT Rs. 16875.00 from 2 lot

Scrip: Nifty Future

5 Minute chart  

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:29PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.


01-08-2016          Short@8689           Cover@8638          Profit Rs.7650

02-08-2016          long@8734              Sold@8714           Loss Rs.3000

02-08-2016          Short@8674            Cover@8663        Profit Rs.1650

04-08-2016          Long@8600             Sold 8605             Profit Rs.750

09-08-2016          Short@8713            Cover@8665        Profit Rs.7200

11-08-2016          Short@8589             Cover@8609        Loss Rs.3000

12-08-2016          Long@8622.50         Sold@8677          Profit Rs.8175

16-08-2016          Short@8621             Cover@8641        Loss Rs.3000

16-08-2016          long@8670                Sold@8650          loss Rs.3000

17-08-2016          Short@8615              Cover@8635        Loss Rs.3000

18-08-2016          Long@8680               Sold@8679          Loss Rs.150

22-08-2016          Short@8663              Cover@8683        Loss Rs.3000

23-08-2016          Long@8640               Sold@8654           Profit Rs.2100

24-08-2016          Long@8655               Sold@8653           Loss Rs.300

25-08-2016          Short@8653              Cover@8615        Profit Rs.5700

29-08-2016          Short@8597              Cover@8617        Loss Rs.3000

29-08-2016          Long@8626               Sold@8660           Profit Rs.5100

                                                                                  Total Profit:16875.00

July 2016 NET PROFIT Rs.38250.00 from 2 lot

5 Minute chart 

 Scrip: Nifty Future

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:29PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.

05-07-2016           Short@8375           Cover@8351           Profit: Rs.3600

07-07-2016           Bought@8379        Sold@8359             Loss:Rs.3000

08-07-2016           Short@8339           Cover@8296          Profit:Rs.6450

11-07-2016           Bought@8432        Sold@8491             Profit:Rs.8850

15-07-2016           Short@8532           Cover@8552          Loss: Rs.3000

15-07-2016           Bought@8576        Sold@8556            Loss: Rs.3000

18-07-2016          Short@8568           Cover@8523          Profit: Rs.6750

20-07-2016          Bought@8550        Sold@8591            Profit: Rs.6150

21-07-2016          Short@8545           Cover@8519          Profit: Rs3900

22-07-2016          Bought@8559        Sold@8539            Loss: Rs.3000

26-07-2016         Short@8616           Cover@8585           Profit: Rs.4650

27-07-2016         Bought@8658        Sold@8638             Loss: Rs.3000

27-07-2016         Short@8617           Cover@8569          Profit: Rs.7200

28-07-2016         Bought@8628        Sold@8666             Profit: Rs.5700

Total Profit Rs.38250.00 from 2 lot



June 2016 NET PROFIT Rs.21420.00 from 2 lot

5 Minute chart  

Scrip: Nifty Future

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:29PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.

01-06-2016           Short@ 8182           Cover@8202             Loss Rs.3000

02-06-2016           Bought@8214         Sold@8240               Profit Rs-3900

03-06-2016           No trade

)4-06-2016            Sat

05-06-2016           Sun

06-06-2016           Short@8225          Cover@8230               Loss Rs-750

07-06-2016           Bought@8268       Sold@8314                  Profit Rs.6900

09-06-2016           Sold@8224            Cover @8226              Loss Rs- 150

10-06-2016           Short@8207          Cover@8195               Profit Rs-1800

11-06-2016           Sat

12-06-2016           Sun

13-06-2016           No trade

14-06-2016           Short@8094        Cover@8114                  Loss Rs-3000

15-06-2016           Bought@8160     Sold@ 8209                    Profit Rs-7350

16-06-2016           Short@8156        Cover@8101                   Profit Rs-8250

16-06-2016           bought@8150      Sold 8130                       Loss Rs-3000

17-06-2016           No trade

18-06-2016           sat

19-06-2016           Sun

20-06-2016           Short@8150         Cover@8170                    Loss Rs.3000

20-06-2016           Bougt@8221         Sold@8251                      Profit Rs.4350

21-06-2016           No trade

22-06-2016           bought@8246       Sold@8226                      Loss Rs-3000

22-06-2016           Short@8210          Cover@8163                   Profit 7050

23-06-2016           Bought@8241.20  Sold@8287                      Profit Rs-7320

24-06-2016           Short@7982          Cover@8002                   Loss-Rs-3000

24-06-2016          Bought@8084         Sold@8064                     Loss Rs-3000

25-06-2016          Sat

26-06-2016          Sun

27-06-2016         Short@8061             Cover@8081                Loss Rs-3000

28-06-2016         Bought@8129          Sold@8135                   Profit Rs-900

Total Profit      Rs-21420.00 from 2 lot.

 ...........................................................................................

May 2016 NET PROFIT Rs.15090 from 2 lot

5 Minute chart

 Scrip: Nifty Future

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:29PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.

1-5-2016        Sunday

2-5-2016        Short@7822.8      Stop Loss hit      Loss Rs.3000

2-5-2016        Bought@ 7875.50      Sold@ 7944      Profit:  Rs.10275

3-5-2016        Short@7849.20          Cover@7779     Profit: Rs.10530

4-5-2016        Trade Not execute in 5 minute chart

5-5-2016        Bought@7783 Sold@7772  Loss Rs.1650

6-5-2016        Short@ 7719.30       SL hit       Loss-Rs.3000

6-5-2016        Bought@7760      Sold@7764   Profit:Rs.600

7-5-2016        Saturday

8-5-2016        Sunday

9-5-2016        Trade Not execute in 5 minute chart

10-5-2016      Trade Not execute in 5 minute chart

11-5-2016      Trade Not execute in 5 minute chart

12-5-2016      Bought@7895.60 SL hit     Loss-Rs.3000

12-5-2016      Short@7870 SL hit     Loss-Rs.3000

13-5-2016      Short@7879.50 Cover@7820 Profit: Rs-8925

14-5-2016      Saturday

15-5-2016      Sunday

16-5-2016      Bought@7842.50 Sold@7886.50 Profit: Rs.6600

17-5-2016      Short@7899.40 Cover@7906 Loss: Rs.990

18-5-2016      Trade Not execute in 5 minute chart

19-5-2016      Short@7829 SL hit     Loss-Rs.3000

20-5-2016      Trade Not execute in 5 minute chart

21-5-2016      Saturday

22-5-2016      Sunday

23-5-2016      Bought@7793.40 SL hit     Loss-Rs.3000

23-5-2016      short@7752 Cover@7740 Profit:Rs.1800

24-5-2016      Trade Not execute in 5 minute chart

25-5-2016      Trade Not execute in 5 minute chart

26-5-2016      Trade Not execute in 5 minute chart

27-5-2016      Trade Not execute in 5 minute chart

28-5-2016      Saturday

29-5-2016      Sunday

30-5-2016      Trade Not execute in 5 minute chart

31-5-2016      Short@8162   SL hit     Loss.Rs.3000

NET PROFIT Rs.15090 from 2 lot

---------------------------------------------------------------------------------------------------------------------------------

April-2016  NET PROFIT Rs.20595.50 from 2 lot

5 Minute chart 

Scrip: Nifty Future

Risk Reward Ratio: 1:3 approximately 

20 Point Fixed Stop Loss and 6 ATR Target

If no stop loss or target met ,close@3:29PM

Note: This strategy giving more weightage to protecting the capital. So the number of trades are less.

1-04-2016          Trade Not execute in 5 minute chart

2-04-2016          Saturday

3-04-2016          Sunday

04-04-2016        Trade Not execute in 5 minute chart

05-04-2016        Short@7744        Cover@7680     Profit- Rs-9600.00

06-04-2016        Trade Not execute in 5 minute chart

07-04-2016        Trade Not execute in 5 minute chart

08-04-2016        Trade Not execute in 5 minute chart

09-04-2016        Saturday

10-04-2016        Sunday

11-04-2016        Bought@ 7618    Sold@ 7678.70 Profit-Rs-9105.00

12-04-2016        Trade Not execute in 5 minute chart

13-04-2016        Trade Not execute in 5 minute chart

14-04-2016       Market Holiday

15-04-2016       Market Holiday

16-04-2016       Saturday

17-04-2016       Sunday

18-04-2016       Trade Not execute in 5 minute chart

19-04-2016       Market Holiday (Mahavir Jayanti)

20-04-2016       Short@ 7897.70 SL hit     Loss-Rs.3000

20-04-2016       Bought@ 7943.05  SL hit  Loss: Rs.3000

21-04-2016       Short@ 7909   Cover@7907  Profit: 300 (No stop Loss No target, Intraday closing).

22-04-2016       Short@ 7897.30  SL-hit    Loss: Rs.3000

23-04-2016       Saturday

24-04-2016       Sunday

25-04-2016      Trade Not execute in 5 minute chart

26-04-2016      Short@ 7836.30   SL hit   Loss: Rs.3000

26-04-2016      Bought@ 7870.75  Sold@ 7918 Profit:Rs. 7087.50

27-04-2016      Trade Not execute in 5 minute chart

28-04-2016      Short@7944 Cover@ 7892 Profit: Rs.7800

29-04-2016      Short@7862  SL hit       Loss: Rs.3000

29-04-2016      Bought@7907.65 Sold@ 7899 Loss: 1297.50

NET PROFIT Rs.20595.50 from 2 lot

-------------------------------------------------------------------------------------------------

Mar-2016   Net Profit : Rs.27367.50 from 2 lot

5 Minute chart  

Scrip: Nifty Future

Risk Reward Ratio: 1:3 approximately 

If no stop loss or target met ,close@3:29PM

8-3-2015        short @7443.20    cover@7453             Loss-1470

9-3-2015        buy@7464.90        sell@ 7523                 Profit 8715     

10-3-2016      short@7454.50    cover@ 7474.50       Loss-3000

10-3-2016      buy@ 7493.95      sell 7486                      Loss-1192.50

11-3-2016      short@7461.40    cover@7481.40        Loss-3000

14-03-2016    buy@7578             sell@ 7558                  Loss-3000

15-03-2016    short@7527.35    cover@ 7471.25        Profit-8415

16-03-2016    buy@ 7477.55      sell@ 7533.30             Profit -8362.50

17-03.2016    short@ 7539.90   cover 7493                    Profit- 7035

18-03-2016    buy@7584.30       sell @7564.30               Loss-3000

22-03-2016    short@7669          cover @7689                  Loss-3000

22-03-2016    buy@7725.75       sell @7729                      Profit-487.50

28-03-2016   short@7691.60     cover @7643                  Profit-7290

29-03-2016   buy@7663.10        sell @7643.10                Loss-3000

30-03-2016   buy@7675.15         sell @7726.65                Profit-7725

Net Profit : Rs.27367.50 from 2 lot

--------------------------------------------------------------------------------------------------------------

Feb-2016   Net Profit Rs. 35250 from 2 lot

NIFTY FUT 5 Minute Chart

02-02-2016         Short@7535          Cover@7555      Loss:3000

02-02-2016        Short@7533          Cover@7467       Profit:9900

04-02-2016        Bought@7450      Sold 7430             Loss:3000

04-02-2016        Short@7386         Cover@7406        Loss:3000

05-02-2016        Bought@7468      Sold@7527          Profit:8850

08-02-2016        Short@7474         Cover@7407        Profit:10500

12-02-2016        Bought@7023     Sold@7003          Loss:3000

16-02-2016        Short@7127        Cover@7147        Loss:3000

17-02-2016        Bought@7078    Sold@7132           Profit:8100

19-02-2016        Bought@7214    Sold @7194          Loss:3000

23-02-2016        Short@7203       Cover@7147         Profit:8400

29-02-2016        Bought@7088   Sold@7068            Loss:3000

29-02-2016        Sold@6990         Cover@6900          Profit:13500

29-02-2016        Bought@7120   Sold 7100               Loss:3000     

Net Profit Rs. 35250 from 2 lot


Jan-2016

NIFTY FUT 5 Minute Chart

04-01-2016               Short@7910         Cover@7868        Profit: Rs. 6300

11-01-2016               Bought@7585      Sold@7594          Profit: Rs.1350

12-01-2016               Short@7541           Cover@7535      profit:Rs.900

13-01-2016               Bought@7575       SL@7555             Loss:Rs.3000

13-01-2016               Short@7520           Cover@7447      Profit: Rs. 10950

13-01-2016              Bought@7555        Sold@7573         Profit: Rs.2700

14-01-2016              Short@7465            Cover@7485     Loss: Rs. 3000

14-01-2016               Bought@7549       SL@7529             Loss:Rs. 3000

15-01-2016              Short@7498           Cover@7442       Profit: Rs. 8400

19-01-2016              Bought@7445      SL@7425              Loss: Rs.3000

20-01-2016              Short@7355          Cover@7281       Profit: Rs. 11100

21-01-2016              Bought@7369       SL@7349             Loss: Rs. 3000

Net Profit Rs. 26700 from 2 lot


Dec-2015

NIFTYFUT 5 Minute Chart

02-12-2015      Short@ 7966      Cover@7917       Profit: Rs. 7350 

03-12-2015      Short@7905       Cover@ 7858      Profit: Rs. 7050 
10-12-2015      Bought@7711    SL @7691           Loss: Rs.3000
11-12-2015      Short@7662       Cover@7607       Profit: Rs.8250
14-12-2015      Bought@7675    SL@7655            Loss: Rs.3000
14-12-2015      Short@7633       SL@7653             Loss: Rs.3000
15-12-2015      Bought@7681    Sold@7740          Profit: Rs.4425
18-12-2015      Short@7802       SL@7822            Loss: Rs.3000
21-12-2015      Bought@7838    SL@7818            Loss: Rs.3000
22-12-2015      Short@7816       SL@7836            Loss: Rs.3000
22-12-2015      Bought@7852    SL@7832            Loss: Rs.3000
22-12-2015      Short@7834       Cover@7785      Profit: Rs. 7350
23-12-2015      Bought@7862    Sold@7862        Profit: 0
24-12-2015      Short@7852       SL@7872           Loss: Rs.3000
28-12-2015      Bought@7891     Sold@7922       Profit: Rs. 4650
29-12-2015      Short@7904        SL@7924          Loss: Rs.3000
29-12-2015      Bought@7927     Sold@7939       Profit: Rs.1800
30-12-2015      Short@7917        Cover@7895    Profit: Rs.3300
31-12-2015      Bought@7923      Sold@7946      Profit@ Rs.3450

Net Profit Rs.27625.00 from 2 lots.

    Nov-2015

 NIFTY FUT 5 Minute Chart

03/11/2015 SHORT80968076-20-2000
04/11/2015 SHORT80638085222200
09/11/2015 Long793579372200
10/11/2015 SHORT78067867616100
16/11/2015 Long77937848555500
17/11/2015 Long784978512200
18/11/2015 SHORT77607815555500
19/11/2015 Long78107850404000
20/11/2015 SHORT78507863131300
26/11/2015 Long78687884161600

Total Points & Profit

246

24600
     

October-2015

 NIFTY FUT 5 Minute Chart

08/10/2015  SHORT81588157-1-100
09/10/2015  Long82348214-20-2000
09/10/2015  SHORT81918171-20-2000
12/10/2015  SHORT81108165555500
13/10/2015  Long81508130-20-2000
15/10/2015  Long81808179-1-100
16/10/2015  SHORT8186.58167-19.5-1950
16/10/2015  Long8186.5823245.54550
20/10/2015  SHORT82658245-20-2000
21/10/2015  Long82928272-20-2000
21/10/2015  SHORT82618258-3-300
23/10/2015  SHORT83088290-18-1800
30/10/2015  Long81608140-20-2000
30/10/2015  SHORT80708122525200

Total Points & Profit

-10

-1000



Sept-2015

 NIFTY FUT 5 Minute Chart

03/09/2015  Long78267806-20-2000
04/09/2015  SHORT76607754949400
07/09/2015  Long77207700-20-2000
07/09/2015  SHORT75627620585800
08/09/2015  Long76467733878700
10/09/2015  SHORT77017681-20-2000
10/09/2015  Long77977832353500
11/09/2015  SHORT77647744-20-2000
14/09/2015 Long78457869242400
15/09/2015  SHORT78147794-20-2000
16/09/2015  Long79017897-4-400
18/09/2015  SHORT79658000353500
22/09/2015  SHORT79067965595900
23/09/2015  Long78357822-13-1300
24/09/2015  Long78597876171700
29/09/2015  SHORT77517731-20-2000
29/09/2015  Long78867866-20-2000

Total Points & Profit

252

25200

Aug-2015

 NIFTY FUT 5 Minute Chart

04/08/2015  SHORT84868550646400
05/08/2015  Long85958575-20-2000
10/08/2015  Long86368616-20-2000
10/08/2015  SHORT85588610525200
13/08/2015  Long84378417-20-2000
13/08/2015  SHORT83988378-20-2000
14/08/2015  Long84458517727200
18/08/2015  SHORT84958475-20-2000
19/08/2015  Long85058485-20-2000
20/08/2015  SHORT83978459626200
21/08/2015  Long83098289-20-2000
24/08/2015  SHORT7895799910410400
25/08/2015  Long78757855-20-2000
26/08/2015  Long79207900-20-2000
26/08/2015  SHORT78277807-20-2000
27/08/2015  Long7904810119719700
28/08/2015  SHORT80468026-20-2000
31/08/2015  Long80618041-20-2000

Total Points & Profit

311

31100

July-2015

 NIFTY FUT 5 Minute Chart

05/07/2015  SHORT85278597707000
06/07/2015  Long84578520636300
07/07/2015  SHORT84398506676700
09/07/2015  SHORT83668346-20-2000
10/07/2015  Long83868451656500
20/07/2015  SHORT86198599-20-2000
20/07/2015  Long86178597-20-2000
21/07/2015 SHORT85418592515100
22/07/2015 Long86098664555500
23/07/2015  SHORT85558608535300
29/07/2015  Long83778430535300
30/07/2015 SHORT84338411-22-2200
31/07/2015  Long85068557515100

Total Points & Profit

446

44600

June-2015

 NIFTY FUT 5 Minute Chart

01/06/2015  SHORT83588425676700
05/06/2015  Long81658185202000
05/06/2015  SHORT80318105747400
10/06/2015  Long80968076-20-2000
11/06/2015  SHORT80118082717100
15/06/2015 Long80388018-20-2000
16/06/2015  SHORT79907970-20-2000
16/06/2015  Long80108074646400
24/06/2015 SHORT83288378505000
25/06/2015 Long83858429444400
26/06/2015 SHORT83808360-20-2000
29/06/2015 SHORT82408220-20-2000
29/06/2015 Long83198388696900

Total Points & Profit

359

35900

May-2015

 NIFTY FUT 5 Minute Chart

04/05/2015 Long82878363767600
05/05/2015 SHORT82498326777700
08/05/2015 Long81628247858500
12/05/2015 SHORT81778258818100
13/05/2015 Long82508230-20-2000
13/05/2015 SHORT81308110-20-2000
13/05/2015 Long82148194-20-2000
14/05/2015 SHORT81698149-20-2000
15/05/2015 Long82448326828200
19/05/2015 SHORT83768356-20-2000
20/05/2015 Long84268406-20-2000
21/05/2015 SHORT84018381-20-2000
21/05/2015 Long84388488505000
25/05/2015 SHORT83638414515100
27/05/2015 SHORT82998279-20-2000
27/06/2015 Long83458325-20-2000
28/05/2015 SHORT82558306515100
28/05/2015 Long83248384606000

Total Points & Profit

433

43300

April-2015

 NIFTY FUT 5 Minute Chart

01/04/2015 Long85758636616100
07/04/2015 SHORT86878667-20-2000
07/04/2015 SHORT86638643-20-2000
07/04/2015 Long87128777656500
09/04/2015 Long87888768-20-2000
09/04/2015 Long87978850535300
22/04/2015 SHORT87478803565600
22/04/2015 Long84358525909000
23/04/2015 SHORT84208400-20-2000
23/04/2015 Long84698449-20-2000
25/04/2015 SHORT82588349919100
28/04/2015 Long82948274-20-2000
29/04/2015 SHORT82468226-20-2000
29/04/2015 Long82828262-20-2000
29/04/2015 SHORT81518227767600

Total Points & Profit

332

33200

March-2015

NIFTY FUT 5 Minute Chart

04/03/2015 SHORT89429026848400
05/03/2015 Long89948986-8-800
09/03/2015 SHORT87758855808000
11/03/2015 Long88068786-20-2000
13/03/2015 SHORT86778751747400
17/03/2015 Long87168696-20-2000
17/03/2015 SHORT86868666-20-2000
17/03/2015 Long87258738131300
18/03/2015 SHORT869987034400
19/03/2015 Long87788758-20-2000
19/03/2015 SHORT86338711787800
24/03/2015 Long85938573-20-2000
24/01/2015 SHORT85928572-20-2000
24/01/2015 Long86428622-20-2000
25/01/2015 SHORT84868565797900
27/03/2015 Long84788458-20-2000
27/03/2015 SHORT84208400-20-2000
27/03/2015 Long84518519686800
31/03/2015 SHORT85528532-20-2000

Total Points & Profit

272

27200

 

**past performance is no guarantee of future results. Intraday trading is subject to market risk. New traders should practice learning mode before entering the real trade mode. Realsense Trading Solutions warn there is a risk associated with Robot in any segment and it may not be suitable for all traders.Automation can work against you,as well as to your advantage. Before deciding to start trading ,you should carefully consider your investment objectives,level of experience,and risk appetite. The possibility exists that you could sustain a loss of some or all of your initial investment and therefore you should not invest money that you cannot afford to lose. There are risks associated with the use of online deal execution and trading systems including but not limited to software and hardware failure and internet disconnection. You should be aware of all risk associated with automated trading and consult with an independent financial ad visor If you have any doubts. Realsense Trading Solutions shall not be responsible for any loss arising from any investment based on any recommendations,forecast or other information provided.  Realsense Trading Solutions will not accept liability for any loss or damage,including without limitation to any loss of profit that may arise directly or indirectly from use of our tools. 

 

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