Understand Future Stock Market Trends Through Nifty Technical Analysis

There are two main methods in analyzing securities to make investment decisions. Both technical analysis and fundamental analysis are nifty future tips and strategy for trading, although many prefer the first because of its versatility. Fundamental analysis has to do with analyzing financial statements of a company, therefore determining the business’ fair market value, whereas technical analysis assumes that the price of a security already reflects this and all other publicly available information. Therefore, technical analysis focuses on price movements and the statistical analysis of such trends and patterns.

Technical analysis offers nifty future tips and strategy for stock trading and although it may appear quite complex and hard to understand on the surface, it is a lot simpler than it looks as it directly points to an analysis of basic market supply and demand, hence determining where price trends are headed. In even simpler terms, what technical analysis attempts to achieve is a better understanding of true market sentiment behind price patterns and trends rather than wasting valuable time and resources analyzing the fundamental attributes of a security. Mastering the limitations and the strengths and benefits of this stock trading strategy allows you a useful set of skills and tools that will help you become a better long-term trader and investor.

Technical analysis provides such nifty future tips and strategy because it allows you to make smarter and more financially sound stock trading and investment decisions. Through technical analysis, you learn how to evaluate the history of stock prices and in turn, get a pretty accurate future reading of how a particular stock will be priced. Analyzing stock charts will help you create your own predictive price charts, which can in turn enables you to determine the best move for your trading. Technical analysis will help you identify the instability of stock prices, their value, and their overall potential to make profit.

Stock Market and Commodities Futures and Options – What You Need to Know Before You Trade

How to trade commodities and stock market is a question many novice traders ask. What you should first understand is that trading commodities is a different game from trading stocks, although both are worth learning if you want to increase investment profits. One of the main things you should remember when it comes to trading is that all investment instruments are unique in terms of the way they generate profit.

A key advantage of commodities trading is that unlike stock trading or investments in ETFS and mutual funds, commodities allow you to make higher percentage gains with a trading capital that is usually only about 10% of a contract’s total value. For instance, you can take hold of a futures contract within the S&P 500-Index with a small margin deposit of a little over $20,000, whereas it would take you several hundred thousand to buy the actual stocks within the same index. Moreover, a 20% rise in it will return a profit of more than 100% as opposed to buying. This means putting up smaller investments for a much larger profit.

To some traders on the other hand, trading stocks is a lot easier than trading commodities in that they generally have more trading activity, which ultimately lowers cost to trade. It is also important to note that stocks in general tend to outperform inflation over time because you are essentially investing your money in enterprises that are trying to improve and be more productive as opposed to commodities that only rise at the pace of inflation.

Regardless where you stand in the stock trading versus commodities trading debate, learning how to trade commodities and stock market is a valuable skill to master as both trading environments offer great profitability, especially when you know how to play the game right.

which stock to buy or sell in intraday trading today

which stock to buy or sell in intraday trading today.

which stock to buy or sell in intraday trading today.intraday tradingIf you want to trade intraday then you will have to select stocks very carefully.

there are so many intraday tips provider in stock market but they all are useless without deep understanding.Otherwise traders enter into any trade, but unable to exip with profit.

All of them are going to exit with losses most of the time because they don’t know the reason to enter.If market condition changes suddenly then they are unable to see those changes.

You can use PAIR startegy simply-

go to nseindia.com.

sell index watch & sectoral indices.

top 2 sectors with max positive % & weakest 2 sectors with max negative sectors.

suppose METAL secter is strongest,

top gainer is hindalco cmp 258.5 & high is 260.

then put stoploss buy @260.

top loser in same metal sector is coal india cmp 285. low is 283.5.

CMP is very near to low, so it shows weakness of stock,we can put stoploss SELL order@low 283.5.

So we are prepared for both upside & downside move of nifty or sensex.

In the same way,

suppose private bank sector is weakest.

top loser is federal  cmp 98.3 low 97.8.

so one can put stoploss sell order@97.8(low.

top gainer is yesbank cmp 318.5 high 319.5.

trader can place stoploss buy order @319.5(high till that moment.

this strategy is called pair strategy and can be used for future & option (derivative trading) as well.

we shall discuss future trades & option trades in different articles however.

Such strategy gives an answer for sudden sector reversal, sensex/nifty reversal or stock specific weakness or strength.

It will be more useful when largecap stocks are showing weakness & midcap or smallcap stock showing good buying interest.

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Pay 2999/-
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Pay 3999/-
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CRUDE mcx TRADING AND ROLE OF ATP(AVERAGE TRADED PRICE) in commodity TRADING

CRUDE ONLINE TRADING AND ROLE OF ATP(AVERAGE TRADED PRICE) in MCX TRADING

क्रूड ऑयल mcx में ऑनलाइन ट्रेडिंग कैसे करें atp से 

CRUDE MCX TRADING AND ROLE OF ATP IN COMMODITY

Average is generally weighted average of high and low of that period.

Period may be a day,week or a year.

If some commodity or scrip maintaining above ATP, then it is said strong in buy side.

& If it slips below average, then becomes weak (selling)

say CRUDE was running today near average5720.

after some struggle, it came up fairly up above 5720 with increasing buyers.

Then 2 options are possible for trading-

1. buy crude@5728 sl5719

or

2. buy crude jun & sell crude july – stoploss 8 pt both side.

Hedging gives us support till clarity.

CRUDE ONLINE TRADING AND ROLE OF ATP(AVERAGE TRADED PRICE) in MCX TRADING

CRUDE MCX TRADING AND ROLE OF ATP IN COMMODITY

Generally 40-50pt stoploss in crude is given by tippers all over india.

If you are hitting 16pt both side STOP LOSS in a very bad day,

then you will get 3 fair chances in same50 pt risk.

and it’s not possible to hit 3 stoplosses consecutively, if you are entering@6.15/7.15/8.15pm.

CRUDE MCX TRADING AND ROLE OF ATP IN COMMODITY

Now crude went up to 5790. average is still 5732.

It is 50-60pt above average,

Then it is often seen that scrip slip to average once,then bounce back again( only if data supports

CRUDE MCX TRADING AND ROLE OF ATP IN COMMODITY

So what should we do here@5790?

book once buying profit.

then sell @5790 sl5800

or buy jun crude & sell july crude again with 8pt SL bothside.

This ATP phenomenon may be seen in other scrips too.

CRUDE MCX TRADING AND ROLE OF ATP IN COMMODITYMCXMCXslide-money

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EVERYONE can learn 100% safe commodity trading at home in evening 6 to 7pm (1 hour) only after office.

PANKAJ JAIN

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Stock market F&O Full day trader’s schedule

Stock market F&O Full day trader’s schedule

with entry & exit(all strategy with right sequence)

what to see before entering TRADE in daytrading of share market stock marketFnO?

1.See global market weekly or daily (whatever available on money.rediff.com or moneycontrol.com/bloomberg

2.See top monthly & last day losers/gainers stocks.

see in.investing.com for timely updation in INDIA indices.

3.See yesterday gaining & losing sectors


4.See nifty/ sensex last 5day chart.


5.See last 5day chart for loser stock.


6.See nifty/ bank nifty most active call/put & note on paper.

buy nifty future or keep sl buy abv high in call+put, IF last 2days showed clear jump or fall.

Stock market F&O Full day trader’s schedule


7.See monthly loser stock’s call & monthly gainer stock’s put & their hedging.

8.Place buy/sell of nifty gainer/ loser @ cmp sl0.4% or

see volume screener/hourly gainer/recovery from intraday low in moneycontrol.com/

BUY top gainers/sell top loser with low volume & book on move till 11am.


9. Keep STOPLOSS buy abv high in top gainer of midcap & stoploss sell below low in top loser of midcap.

book fast in activated trade.(equity or call/put)


10.Take a break from 11.30 am to1.30pm.(lunch, study, outdoor urgencies)

Stock market F&O Full day trader’s schedule

11.after 1.30pm

Watch again nseindia.com.See top gainer & top loser sector and stocks.


12.Place buy abv high & sell below low in (equity or option) or

see volume screener/hourly gainer/recovery from intraday low 52 week high low/moneycontrol.com/

BUY top gainers/sell top loser with low volume


13.Place order in nifty/ banknifty future with hedging of call/put.

or place trade in nifty call+put combo daily@1.54pm sl8pt.


14.Try to book all before3pm.Stock market F&O Full day trader’s schedule is must.

e335

 

 

 

 

 

 

 

 

15.See volume screener again for BTST trade & buy @3.29pm and sell @9.16am next day. or

See nseindia.com for btst trade in options of nifty/banknifty or strong/weak stock.


16.Keep seeing f3-f3 order book & alt+f6 net position in every 30minutes.Remove useless orders & keep booking part profits on each move.


17.Sell/buy(square off) extra position in post market from3.40 to4pm.


18.Note down your trading record with tentative brokerage+ taxes & analyse your mistakes today to improve  in next day’s trading.

Everyone can learn everything of stock market commodity or forex trading with us in just a weekend & small fee like pocket money.


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search pankaj jain mcx on youtube (most popular channel in INDIA)

Basics of banknifty derivative – how to trade future & option (call put)

Basics of banknifty derivative – how to trade future & option (call put)Stock-Options-Trading
Bank Nifty Option Strategy and Tips ,
bank nifty weekly options strategy,
bank nifty option strategy,

BANKNIFTY is an index crearted to measure upside or downside in banking stocks including both PSU bank as well as private banks.

PSU stands for Public sector undertaking means all govt banks.

This index could be traded in national stock exchange in derivative section.

Lotsize of bank nifty is 40.

So if banknifty is running 25000,

then total value of lot is 25000*40= 10lac

If you want to trade future of banknifty, then you need to pay 15-20% margin for this .That would be 70000 to 1.2lac.

If you bought banknifty future @25000 sl24950 (SL 50pt)

total stoploss value is 50*lot size = 50*40=Rs 2000/-

If banknifty moves up by 1% in a day then it will be 1/100*25000=250pt

so total profit will be 250*40=Rs 10000/-

IF you do not have enough money to trade future or you don’t want to take that big risk, then one can go for trading option (call or put)instead of future.
Bank Nifty Option Strategy and Tips ,
bank nifty weekly options strategy,
bank nifty option strategy,

Option need much less capital comparatively & risk is limited.

buy banknifty call @rs 200 premium,if you think that banknifty will go upside.

you need 200*lot size= 200*40=Rs 8000

total risk 8000 only.

If banknifty goes up then it may increase  upto 250,300 or 500.

If you sell call@300.

then profit is sell price – buy price=300-200=100pt*lotsize

profit will be 100*40= Rs 4000

You can put stoploss of 20pt means if it goes downside,

your loss will stop by 20*40(lot size)=800

If you think that banknifty will go downside,

you can buy PUT of banknifty.

PUT gives profit when underlying (banknifty) goes downside.

Suppose you bought 24300 strike price PUT@Rs 100 premium.

Premium varies as per near & far strike price.

NEAR strike price have HIGH premium.(price for call or put)

FAR strike price have low premium .

(near or far from cmp of underlying)

Everyone can learn to trade in future & option easily at home .

biggest career in pocket money with total freedom.
Bank Nifty Option Strategy and Tips ,
bank nifty weekly options strategy,
bank nifty option strategy,

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Biggest secret of trading profit in stock market mcx स्टॉक मार्केट ट्रेडिंग का सबसे बड़ा रहस्य

Biggest secret of trading profit in stock market mcx

स्टॉक मार्केट ट्रेडिंग का सबसे बड़ा रहस्य

ये है –

मार्केट 70 % टाइम रेंज बाउंड और बोरिंग होता  है।

सचमुच कमाने वाले 70 % टाइम स्क्रीन को बस देखते रहते है और 30 % टाइम ट्रेड करते है।

पैसा खोने वाले हाइपर एक्टिव होते है।

ये ख़रीदा ,ये बेचा। ये एस एल गया , फिर से ख़रीदा ,प्रॉफिट आया ,फिर से और बेचा ,

शाम को +250 प्रॉफिट के बचे। टैक्स +ब्रोकरेज के 800 /- लग गए।

फिर भी सच देखने को राज़ी नहीं होंगे और दूसरों की गलतियाँ बताएँगे।

सिल्वर पिछले कई महीनों से 40000 से 45000 के बीच झूल रही थी।

जो ट्रेडर 6 महीनों से मार्किट में आये थे ,वो पुरे जोश में बोलते थे कि सिल्वर का तो ट्रेंड अब पूरा समझ लिया है मैंने। जब 45000 के आस पास आये , सेल कर दो ,आराम से निचे आने पर बुक कर लो।

जब 45000 से ऊपर गयी , तो नए ट्रेडर ने सोचा कि कितना ऊपर जाएगी आखिर। आना तो निचे ही है।

48000 पे एक और लोट शोर्ट सेल किया और घर गया।

सुबह सिल्वर 52000 खुली ,रातों रात कपडे उतर गए , अब आदमी समझे तो क्या समझे ,क्या करे।

सुन्न बैठा ही है और सिल्वर ने 59000 भी दिखा दिया है।

उसने जो देखा ,वो ही उसके लिए सच था।

मार्केट महीनों में या पुरे दिन में ऐसे ही जाल बनाता है ,और जब खूब सारे लोग फंस जाते है तो साथ बहा ले जाता है।

इसलिए जल्दी मत करो।

एक स्टॉप लोस चला गया तो कम से कम अगला टाइम स्लॉट आने तक इंतज़ार करो।

हमने लास्ट पोस्ट में  मूवमेंट के टाइम स्लॉट बताएं है।

बल्कि दिन में एस एल हो और शाम(5. 50 PM  तक के लिए स्क्रीन छोड़ दी ,तो और अच्छा।

बड़ा लोस या प्रॉफिट होते ही स्क्रीन छोड़ देना चाहिए। जब खून ठंडा हो जाता है तो आँखे सही देख पाती है।

जो ट्रेडर दिन भर स्क्रीन को देखकर बिना एक ट्रेड किये घर जाने को राज़ी है ,उसे रोज पैसे मिल जाते है।

1000 पॉइंट की गिरावट को चुपचाप देखकर एक सिल्वर मिनी में 200 पॉइंट की रिकवरी ली और घर चल दिए।

जब भी ट्रेड डालें तो कितना फायदा होगा ,ये नहीं गिनना होता।  ये गिनना होता है कि सारे स्टॉप लॉस  टूट गए तो कितना पैसा लग जायेगा और मैं झेल जाऊंगा क्या?

दो और ट्रेड  करने की हिम्मत बचेगी क्या ?

टिपर एक सपोर्टर है ,भगवान नहीं है। पूरी तरह उसके भरोसे रहने की बजाय  उसके सही तरीके सीखो।

क्योंकि जब अचानक बड़े मूवमेंट आते है तब टिपर को टिप भेजने का टाइम भी नहीं मिल पाता।

आपका नॉलेज और प्रैक्टिस एक स्माल स्टॉप लॉस लेकर ट्रेड करने का मौका  देता है और खूब पैसों के साथ भविष्य का आत्मविश्वास भी मिलता है।

e335

यह बिजनेस ज्ञान आधारित है। जितना ज्ञान ,उतना डिसिप्लिन और उतना ही पैसा।

एक अनुभवी से सीखते सीखते साल भर में आपने सिर्फ 2000 /- डेली बनाना सीख लिया तो 5 लाख सालाना

जीवन भर कम पाओगे रोज़ आधे घंटे में।

इतनी बड़ी कला के लिए , साल भर का समय या 1 लाख फी भी लग जाये  तो नुकसान  है क्या ?

लेकिन हम या तो बहुत जल्दी अपने को सिकंदर मानने वाले होते है या खुद को नाकारा मान लेते है।

हमारे साथ ३ दिन काम करने से आपके महीनों में बने गलत ट्रेडिंग पैटर्न एकदम चले नहीं जायेंगे।

ज़रा सा प्रॉफिट आते ही लालच में कूद जाना या जरा सा लॉस होते ही डर में सिकुड़ जाना पुराणी आदतें है।

समझ के बगैर आदतें जा नहीं पाएंगी।

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Crude oil mcx trading strategy for intraday trading with ATP (average trading profit)

Crude oil mcx trading strategy for intraday trading with ATP (average trading profit)

CRUDE ONLINE TRADING AND ROLE OF ATP(AVERAGE TRADED PRICE) in MCX TRADING

क्रूड ऑयल mcx में ऑनलाइन ट्रेडिंग कैसे करें atp से 

Average is generally weighted average of high and low of that period.

Period may be a day,week or a year.

If some commodity or scrip maintaining above ATP, then it is said strong in buy side.

& If it slips below average, then becomes weak (selling)

say CRUDE was running today near average5720.

after some struggle, it came up fairly up above 5720 with increasing buyers.

Then 2 options are possible for trading-

1. buy crude@5728 sl5719

or

2. buy crude jun & sell crude july – stoploss 8 pt both side.

Hedging gives us support till clarity.

CRUDE ONLINE TRADING AND ROLE OF ATP(AVERAGE TRADED PRICE) in MCX TRADING

क्रूड ऑयल mcx में ऑनलाइन ट्रेडिंग कैसे करें atp से 

Generally 40-50pt stoploss in crude is given by tippers all over india.

If you are hitting 16pt both side sl in a very bad day,

then you will get 3 fair chances in same50 pt risk.

and it’s not possible to hit 3 stoplosses consecutively, if you are entering@6.15/7.15/8.15pm.

Now crude went up to 5790. average is still 5732.

It is 50-60pt above average,

Then it is often seen that scrip slip to average once,then bounce back again( only if data supports

So what should we do here@5790?

book once buying profit.

then sell @5790 sl5800

or buy jun crude & sell july crude again with 8pt SL bothside.

This ATP phenomenon may be seen in other scrips too.

CALL US FOR FEEDBACK

PANKAJ JAIN

MONEYGURU

WWW.SPEEDEARNING.IN

www.stockoptiontraining.com 

CALL FOR TRAINING & SURE TIPS

7066045880

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learn commodity trading 6 month course with daily practical support & full fee recovery 51000(6m

commodity all mcx video course 3999/- (set of 70+ self learning video

video courses for OPTION / FUTURE / EQUITY CASH/ INVESTMENT +MF+IPO 3999/- each video course

 

FUTURE & OPTION(derivative) IN STOCK MARKET hindi video -NSE फ्यूचर्स एंड आप्शन्स

FUTURE & OPTION(derivative) IN STOCK MARKET hindi video -NSE फ्यूचर्स एंड आप्शन्स

 FUTURE & OPTION (EASY STUDY IN 5MINUTES)click the above link for detail video

फ्यूचर्स एंड आप्शन्स कभी शेयर ट्रेडिंग की नई प्रणाली हें । चूंकि                                                                                                  

इसमें बड़े पैमाने पर ही काम अत: बड़े नुकसान या फायदे की सम्भावना बनती बनती हें । हर टर्मिनल पर एक स्क्रीन NSE -BSE की और एफ एंड ओ की स्क्रीन होती है .FUTURE & OPTION(derivative) IN STOCK MARKET hindi video –NSE फ्यूचर्स एंड आप्शन्स फ्यूचर में फिलहाल 500 से ज्यादा स्क्रिप्स है जिनमे बहुत ज्यादा वॉल्यूम होता है । you can find all future & option lotsize & marjin amount by goole search of website like zerodha.

केश मार्केट में आप सौ या दो सौ -पाँच सौ क्वांटिटी ट्रेड करते है .लेकिन ऍफ़ & ओ में लॉट की साइज़ फिक्स होती है।

स्टॉक का प्राइस ज्यादा है तो लोट साइज़ छोटा है जैसे infy(2 4 0 0 ) का लॉट 1 2  5 का है .जबकि ifci(2 0 ) का लॉट 1 3 0 0 0 का है ।

लॉट की कुल वैल्यू का 1 5 % मार्जिन मनी लगता है । फ्यूचर में ब्रोकरेज 0. 0 3 % इंट्रा डे वाली लगती है । ऑप्शन -कॉल या पुट में 5 0 /लॉट ब्रोकरेज लगती है ।

फ्यूचर में ट्रेडर लास्ट थर्सडे (गुरुवार) तक रुक सकता है । महीने की लास्ट गुरुवार एक्सपायरी का दिन होता है।

यदि अभी अप्रैल चल रहा है तो हमको ट्रेडिंग के लिए अप्रैल, मई  और जून की सीरीज अवेलेबल है । अप्रैल में एक महीने से कम और जून में तीन माह का टाइम मिल जाता है ।

अप्रैल का फ्यूचर सेल करके मई का फ्यूचर खरीदना पड़े तो इसे  रोल ओवर कहते है । डे टू डे लास /प्रॉफिट के चेक देना होता है ,जो मार्क टू मार्किट मार्जिन कहलाता है ।

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best 3 stock pick for this month in nse share market future option derivative

best 3 stock pick for this month in nse share market

If you want to buy shares in indian stock market,you can find best 3stock picks for this month in NSE.

These best 3 stock picks can be used to buy stock future or stock option in derivative section.

Go to mutualfundsindia.com website.

when you scroll down the home page there, it will show you fastest stocks in lower bottom.

what do we mean by fastest stock?

fastest stock are the stock bought in maximum volume by institution

till last day of last month.If you see in march, it will show you top stocks bought by institution till 28 feb.

One can choose top 3 stocks out of these 10 stocks mentioned here.

these best 3 stock picks for this month in nse (share market) should be accumulated in 1/2/3 ratio when nifty or sensex goes in dip or downside move.

when sensex/nifty recovers or goes upside again, you can start booking profit means selling your holdings of stock in parts gain in 1/2/3 ratio.

This will give you control over market.