Friday, July 20, 2012

Trade analysis - last 5 trading days


DATE  ENTRY   DIRECTION                 EXIT    REASON     P/L POINT              P/L RS 
7/16/2012      5,226.00    SHORT               5,206.00    TARGET             20.00             5,000.00 
7/17/2012      5,222.00    LONG               5,205.00    STOPLOSS            (17.00)           (4,250.00) 
7/18/2012      5,212.00    LONG               5,236.00    TARGET             24.00             6,000.00 

                                    -  
7/20/2012          5,243.00  SHORT           5,223.00  TARGET                 20.00                  5,000.00
               11,750.00
TOTAL PROFIT IN 5 DAYS  5 LOTS                11,750.00
BROKERAGE PAID                  2,600.00
NET AFTER BROKERAGE                  9,150.00
CAPITAL REQUIRED TO TRADE 5 LOTS OF NIFTY              125,000.00
RETURN ON CAPITAL INVESTED IN 5 DAYS                  7.32%


NET PROFIT IN 5 LOTS -  AFTER   5 DAYS     :   9,150
NET PROFIT IN 1 LOT   -AFTER     5 DAYS      :   1,830
NET PROFIT IN MINI -  AFTER       5  DAYS     :   732

Brokerage  may vary depends on brokers .other charges may be also included 

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