๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ
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๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ
@_ChartWizard_
Swing Trader | Investor | Not SEBI Registered
ุงูุถู
Eylรผl 2021
82 ูุชุจุน41.4K ุงูู
ุชุงุจุนูู

#CEMPRO
- 4R trade running โ
- Up 11% from initial entry โ

๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ@_ChartWizard_
#CEMPRO Long at 896 with PDL as stop.
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@monoscalper ๐ค
QME

#WOCKPHARMA 1775 ๐ฅ
- 11R trade running โ
- Up 11% from initial entry โ

๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ@_ChartWizard_
#WOCKPHARMA Long at 1590 with PDL as stop.
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@_ChartWizard_ True agar bhagna hota toh kabka hojata.
เคนเคฟเคจเฅเคฆเฅ

#RRKABEL
Personally attempted it twice โ first time closed at cost, second time booked a small loss.
Skipped todayโs trade as urgency was clearly missing over the last few days, so didnโt find it worth attempting again.

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#WOCKPHARMA 1760
Booked 1/3 today at 1755.
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@unhumanlyyours Looks average to me, not something I usually trade.
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@_ChartWizard_ You missed out on thermax, Vijaya Diagnoatics
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@monoscalper Great stuff bhai ๐ฅ
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๐100% Return In 2 Months. Market Has Been Kind๐
โก๏ธ๐โ๐๐ก ๐๐๐๐๐๐? ๐โ๐๐ก ๐น๐๐๐๐๐? ๐โ๐๐ก ๐ถโ๐๐๐๐๐?
โซ๏ธCapital: 10L + 1L(Cushion For Unforeseen DD)
๐ขProfit: 10L (44% Cash + 56% F&O)
๐ Duration: April-May
๐๐๐ก๐๐ง๐ ๐๐ฌ ๐ ๐๐๐๐:
๐กPosition Size: Increased my usual position size to 1.5x-2x to overcome STT increase effect and keep my usual impact intact.
๐กFollowed Process: Took trades based on sector strength or strong setups in daily chart. Managed to cut the noise by avoiding everything else.
๐กTracked Performers: I had performing stocks in my cash segment watchlist thanks to people I am following here, hence, the intraday cash trades have had a huge impact, I feel.
๐๐๐ก๐๐ซ๐ ๐ ๐
๐๐ข๐ฅ๐๐:
๐ดSwing Trading: I have failed as a swing trader, mostly due to my scalping mentality. I have a separate swing account with small capital which is green due to some recent BTST trades.
Learning from @RJ_lonewolf tweets.
๐ดCommodity Trading: I have failed as a commodity trader as well. I had good winrate in crude but cannot give so much screentime. Gold & Silver trades have been weird. Need to work on them to get into prop trading.
Learning from recent @selfunmade tweets.
๐๐๐ก๐๐ญ ๐๐๐ฌ ๐๐จ๐ซ๐ค๐๐:
I feel the only factor that worked in my favour is the market condition.
Stocks are giving trending moves in intraday which increase overall impact when I hold slightly longer than usual.
๐๐๐๐ซ๐ข๐๐ข๐๐ ๐&๐:
console.zerodha.com/verified/81d27โฆ
(Consider 1st Apr-Till Date)
--------------------------------
๐โโ๏ธThe unfortunate thing is that I have withdrawn the profit from my account, and hence, it is not going to add up to my existing capital.
The majority of the profit is being used to build an emergency fund so that my family does not suffer when my performance encounters an obstacle.
๐When you are the sole earner in the family, family gets the priority. If I had not withdrawn any money from my trading account, I would have 50L+ capital by now, starting from 50K. Never mind, I will achieve it in the next two years after all family expenses.

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@_ChartWizard_ Mera 4.5r trade cost peh nikla hain aaj ๐ญ
Slovenลกฤina

#AVALON โ Mother of all shakeout
Closed remaining 2/3 at 1345 โ
From 3% impact to just 1.2% ๐ฌ
๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ@_ChartWizard_
#AVALON Up 18% from first buy โ Booked 1/3 position today at 1550 โ
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@deepanshusehgal Wait for some tight price action.
For reference, you can watch CPPLUS โ after the shakeout on 6th May, it gave tight consolidation.
Best approach is to wait for a low-risk entry after that.
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@Naman_713 Hota hai bhai, thatโs part of the game. At least you booked partial which is good.
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๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ ุฃูุนูุฏ ุชุบุฑูุฏู

A good delayed EP setup usually takes off within 5 to 20 days. If it is taking longer than that, then many times the main element behind the setup is missing, and that element is urgency.
The entire delayed EP structure is built around urgency.
A neglected stock suddenly reacts strongly after earnings. Maybe you cannot fully see the reason in the numbers, but the price and volume reaction tells you that somebody is interested. Somebody sees something.
That sudden shift in behavior is what makes the setup attractive in the first place.
But if the stock keeps moving sideways for more than 20 days after the earnings reaction, then the urgency starts fading away.
At that point, it is usually better to drop the idea and focus on other available setups instead of forcing conviction.
Because when you trade delayed EPs, one thing you are heavily betting on is momentum building quickly after that earnings reaction.
If that quick follow-through is missing, then many times the stock is simply not ready.
Idea Credits - @PradeepBonde
#DelayedEP

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@BegamLikaa99630 Yes, taking too much of time ๐ซ
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Current Holdings!!
#AVALON (RF)
#ANGELONE (RF)
#WOCKPHARMA (RF)
#CMPDI (RF)
Opened today:
#RRKABEL at 1995
#CEMPRO at 897
#BHARATCOAL at 36.75

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@BhawneshArya Risk Free
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#BHARATCOAL
Long at 36.75 with day low as stop.

๐ง๐ต๐ฒ ๐๐ต๐ฎ๐ฟ๐ ๐ช๐ถ๐๐ฎ๐ฟ๐ฑ@_ChartWizard_
#BHARATCOAL Tracking Closely
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