Sistema De Negociação De Nakshatra
Mercado de Valores e Aspectos Astrológicos Estas são minhas notas preliminares e básicas sobre como os mercados de ações são previstos usando a Astrologia Védica. Estes são derivados da Bíblia da Astrologia Mundana que é Brihat Samhita. Brihat Samhita descreve a importância do material associado aos planetas e, em seguida, o movimento dos planetas através de vários sinais e nakshatras afeta a demanda e o fluxo de oferta e preço em commodities e no mercado de ações. Não há muita matéria de aprendizagem disponível para a Astrologia Védica e estou em processo de obter um livro chamado Vyapar Ratna, que deve conter detalhes sobre o movimento nos mercados de commodities. Algumas informações também são derivadas de Muhurta Chintamani que fala sobre quando poderíamos gastar dinheiro no investimento. Peço desculpas por não haver exemplos, gráficos ou outros detalhes neste artigo, pois ainda estou aprendendo. Vou tentar compartilhar informações à medida que eu a obtenho. As ferramentas que são muito importantes são panchanga e um gráfico de astrologia para o horário da manha para o mercado de ações. Precisamos observar o nakshatra, o rashi e a posição de outros planetas. O descanso é conduzido pelo conhecimento da astrologia. Comerciantes e Temporários Dependendo do trânsito da Lua, os comerciantes devem manter-se afastados do comércio se a Lua estiver em trânsito através da sua 2ª casa (), 8ª () ou 12ª casa () Mecanismo para predição Crie um gráfico para o horário da manhã no sino de abertura para o Mercado de ações Melhoria no setor Em seu próprio sinal, sinal amigável ou exaltado. Aspectos benéficos Retrograde (não devemos colocar dinheiro na área se o planeta estiver retrógrado) Declínio no setor O planeta governante é combust. Causa conjunta exata. Aspectos maléficos de Saturno, Marte, Rahu Aspectos de outros planetas O aspecto do Sol ou do Sol na casa governada por um planeta indica favor ou impedimento do governo, dependendo da natureza ou do Sol no horóscopo. O efeito Moons causa um movimento ascendente, a direção depende de outros efeitos. Mercúrio é efeito semelhante, associado a rumores e indecisão se Mercúrio tiver aspectos negativos. Marte indica comércio de alto volume e flutuações. O efeito Venus indica um mercado estável e aborrecido na área que considera a expansão de Júpiter na indústria e no crescimento. Sobreprodução, excesso, aumento da oferta, redução do custo de Saturno. Um bom aspecto irá estabilizar o mercado e crescimento a longo prazo, o aspecto ruim será uma doença de depressão a longo prazo. Os preços das commodities crescerão devido à frustração geral da oferta curta devido a esse aumento de preços. Conjunções e aspectos de RahuKetu geralmente são ruins. NakshatrasYogas One deve estar completamente consciente da panchanga. A panchanga online neste site definitivamente deve ajudar. Há certos NakshatraYogas quando devemos evitar. O investimento deve ser evitado em nakshatras Sharp, Fixed e Mixed. RiktaBhadra tithis, os iogas Vyatapat devem ser completamente evitados ao fazer investimentos, já que os investimentos feitos durante esse período não retornarão. Vanija Karana é uma que é adequada para vendedores, mas não para compradores. Sementes, Agricultura, Cereais (Mercado geral de commodities), Setor de energia, Defesa, Médico amp Pharma setor indiano de PSU, títulos públicos, fundo de dívida (governado pelo governo do dia ) Frutas e vegetais, produtos lácteos, indústria de alimentos processados Setor farmacêutico (Dúvida) Defesa, armazenagem Automóveis e maquinaria leve Setor de retalho Transporte marítimo, transporte ferroviário FMCG amplificador telecomunicação Setor de publicações, entretenimento e esportes Centros comerciais, setor comercial, escritórios (mas não reais) Propriedade) Compras on-line (flipkart, myntra, etc.) Educação, comunicação, consultoria geral (Accenture, Infosys, Wipro, etc.) Banca e finanças (para bancos de PSU, veja também a Sun) Indústria de confeitaria. Produtos acabados de têxteis, itens caros, indústria automotiva de alta gama Hospitalidade, turismo, mídia e entretenimento, filmes, etc. Petróleo e gás (Doubt) Indústria de mineração e carvão, indústria de metais pesados, fabricação pesada Saturno irá reger construção naval, fabricação de automóveis, mas Mercurymars irá Determinar o industrysales etc. Cimento Indústria elétrica pesada Realty sectornakshatra modificado um dos meus amigos me dê isso, ele combina duas ou mais fórmulas, eu acho que ajuda a evitar alguns sinais falsos em nakshatra. credit goees para especialistas em programação original. SECTIONBEGIN (quotMA Diffquot) T26 KMA ((C-MA (C, T)) MA (C, T)) 100 Graph0KMA Graph0Style24 Graph0BarColorIIf (KMAgt0,5,4) GraphXSpace5 SECTIONBEGIN (quotPricequot) SetChartOptions (0, chartShowArrowschartShowDates) Plot (C (QuotColorquot, colorBlack), styleNoTitle ParamStyle (quotStylequot) GetPriceStyle ()) SECTIONEND () SECTIONBEGIN (quotZIG-ZAGquot) P ParamField (quotPrice fieldquot) alterar Param (quot changequot, 5,0.1,25,0.1) SECTIONEND ( ) SECTIONBEGIN (quotMAquot) P ParamField (quotPrice fieldquot, -1) Periods Param (quotPeriodsquot, 15, 2, 300, 1, 10) SECTIONEND () SECTIONBEGIN (quotMACD Explorationquot) r1 Param (quotFast avgquot, 12, 2, 200, 1 ) R2 Param (quotSlow avgquot, 26, 2, 200, 1) r3 Param (quotSignal avgquot, 9, 2, 200, 1) ZParam (quotzigquot, 1,0,10,0.1) Cond3 Zig (C, z) gtRef ( Zig (C, z), - 4) Compre Condl e Cond6 Trigger WriteIf (Compre, quotBuyquot, quotquot) WriteIf (Vender, QuotSellquot, quotquot) BG I Se (Comprar, colorPaleGreen, IIf (Vender, colorRose, colorDefault)) FG IIf (Comprar, colorDarkGreen, IIf (Vender, colorDarkRed, colorDefault)) se (Status (quotactionquot) actionIndicator) Plot (C, quotquot, colorGrey50, styleBar) PlotShapes (IIf (Vender, shapeCircle, shapeNone), ColorBlue, 0, H, Offset-30) Filtrar Comprar ou Vender SetOption (quotNoDefaultColumnsquot, True) (IIf (Comprar, shapeCircle, shapeNone), ColorBlue, 0, L, Offset-60). ) AddTextColumn (Name (), quotSymbolquot, 77, FG, BG, 120) AddColumn (DateTime (), quotDatequot, formatDateTime, FG, BG, 100) AddColumn (TimeNum (), quotTimequot, 1) AddColumn (C, quotClosequot, 1.3 ) AddColumn (H, quotHighquot, 1.3) AddColumn (V, quotVolumequot) AddColumn (Ref (V, -1), quotP-Volquot) AddColumn (VRef (V, -1) 100, QuotIncrease in Volquot) AddColumn (Buy, quotBuyquot, 1) AddColumn (Vender, quotSellquot, 1) shape Comprar shapeHollowUpTriangle Vender formaHollowDownTriangle PlotShapes (forma, IIf (Comprar, colorBlue, colorBlue), 0, IIf (Comprar, Baixo, Alto)) GraphXSpace 7 SECTIONEND () SE CTIONBEGIN (quotEMA3quot) P ParamField (quotPreço fieldquot, -1) Periods Param (quotPeriodsquot, 15, 2, 300, 1, 10) SECTIONEND () SECTIONBEGIN (quotBackground textquot) C13Param (quotfontsquot, 20,10,30,1) C14Param ( Quotleft-rightquot, 2.1,1.0,5.0,0.1) C15Param (quotup-downquot, 12,1,20,1) Miny Status (quotaxisminyquot) Status Maxy (quotaxismaxyquot) lvb Status (quotlastvisiblebarquot) fvb Status (quotfirstvisiblebarquot) pxwidth Status (quotpxwidthquot) ) Pxheight Status (quotpxheightquot) GfxSetBkMode (transparente1) GfxSetOverlayMode (1) GfxSelectFont (quotTahomaquot, Status (quotpxheightquot) C13) GfxSetTextAlign (6) GfxSetTextColor (ColorRGB (217,217,213)) GfxTextOut (Nome (), Status (quotpxwidthquot) C14, Status (quotpxheightquot) ) C15) GfxSelectFont (quotTahomaquot, Status (quotpxheightquot) C130.5) GfxSetTextColor (ColorRGB (103,103,103)) GfxTextOut (quotAJEET SINGHquot, Status (quotpxwidthquot) C14, Status (quotpxheightquot) C152.5) GfxSelectFont (quotTahomaquot, Status (quotpxheightquot) C130 .5) Gfx SetTextColor (ColorRGB (103103103)) GfxTextOut (quotquot, Status (quotpxwidthquot) C14, Status (quotpxheightquot) C154) GfxSelectFont (quotMS Sans Serifquot, 10, 500, False, False, 0) Segunda fase começa aqui arquivo: BHS Gráfico SECTIONBEGIN (quotTradingquot ) SetChartBkColor (ParamColor (QuotOcolor do painel de tamanho, colorLightYellow)) SetChartBkColor (ParamColor (quotBackGround Colorquot, colorBlack)) pShowtradeLines ParamToggle (quotShow Trade Linesquot, quotNoYesquot, 1) pShowMarkers ParamToggle (quotShow Markersquot, quotNoYesquot, 1) synchParamToggle (quotSynchronize buyshort com estrangeiro Índice, quotNoYesquot, 1) VolminParam (quotVolume minimumquot, 5000,0,10000000,50) VolmaxParam (quotVolume maximumquot, 1000000,0,10000000,50) priceRLParam (quotPrice Range Minquot, 150,1,20000,1) priceRHParam (quotPrice Range Maxquot, 3000,1,20000,1) PercChangeminParam (quotPercentage Change Min setquot, -25, -100, 100, 0.1) PercChangemaxParam (quotPercentage Change Max setquot, 25, -100, 100, 0.1) PerctakeProfitPara M (quotTake Profit Percent Setquot, 0.6,0.3,30,0.1) PercStoplossParam (quotStopLoss Percent Setquot, 0.25,0.2,5,0.1) PlotOHLC (Open, High, Low, Close, quotquot, colorWhite, styleCa ndle) Barras 0 xpdh 90 PlotRange (TimeNum () gt 85500 E TimeNum () lt 153500) E (DateNum () LastValue (DateNum ())) FHRange (TimeNum () gt 085500 E TimeNum () lt 093000) E (DateNum () LastValue (DateNum () )) FHPrices High FHRange FHMarker BarsSince (FHRangegt0) NumBars 36000 Interval (1) TimeFrameSet (inDaily) TOP Abrir PDH Ref (Alto, -1) PDL Ref (Baixo, -1) PDO Ref (Open, -1) PDC Ref (Close , -1) PDM (PDHPDL) 2 TimeFrameRestore () isAll True isRth TimeNum () gt 085400 E TimeNum () lt 093000 isdRth TimeNum () gt 085400 E TimeNum () lt 160000 aRthL IIf (isRth, L, 1000000) aRthH IIf (isRth, L, 1000000) aRthH IIf (isRth, L, 1000000) aRthH IIf ( isdRth, H, nulo) aRthLd IIf (isdRth, G, 1000000) para cima TimeFrameExpand (TOP, inDaily, expandFirst) PDH TimeFrameExpand (PDH, inDaily, expandFirst) PDL TimeFrameExpand (PDL, inDaily, expandFirst) DOP TimeFrameExpand (DOP, inDaily, expandFirst ) PDC TimeFrameE Xpand (PDC, inDaily, expandFirst) TimeFrameExpand PDM (PDM, inDaily, expandFirst) FHH Ref (HHV (HighFHRange, NumBars), - FHMarker) FHL TimeFrameCompress (aRthL, inDaily, compressLow) FHL TimeFrameExpand (FHL, inDaily, expandFirst) DayH TimeFrameCompress (aRthH, inDaily, compressHigh) DayH TimeFrameExpand (DayH, inDaily, expandFirst) dayl TimeFrameCompress (aRthLd, inDaily, compressLow) dayl TimeFrameExpand (dayl, inDaily, expandFirst) AIIf ((FC4ltFC1PDH0.005), FC1,0) BIIf ((FC4ltFC2PDH0 .005 E FC4gtFC1PDH0.005), FC2,0) ClIIf ((FC4ltFC3 E FC4gtFC2PDH0.005), FC3,0) AF (ABCL) SECTIONBEGIN estrangeira (quotforeign bar Índice graphquot) VrParamList (quotIndexquot, Lista quotNSEI, NSEBANK, CNXIT, NSMIDCP , RELIANCE. NS, SB IN. N Squot, 0) SetForeign (Vr) HaC (OHLC) 4 HaO AMA (Ref (HaC, -1), 0,5) HaH Max (H, Max (HaC, HaO)) HaL Min ( L, Min (HaC, HaO)) BG3HHV (LLV (HaL, 4) ATR (4), 8) BR3LLV (HHV (HaH, 4) - ATR (4), 8) co IIf (HacgtBG3, colorBrightGreen, IIf (Hac Lt BR3, colorRed, colorGrey50)) BuyPrice (DayLAF) BuyTP1 (Bu YPrice (BuyPrice (PerctakeProfit100))) BuyTP2 (CgtBuyTP1) SellPrice (DayH-AF) SellTP1 (SellPrice - (SellPrice (PerctakeProfit100))) SellTP2 (CltSellTP1) percchange (((C-TOP) TOP) 100) Vol (VgtVolmin E VltVolmax ) Percentagem (percchangegtPercChangemin AND percchangeltPercChangemax) prc (CgtpriceRL e CltpriceRH) BuyStop1 (BuyPrice - (BuyPrice (PercStoploss100))) BuyStop2IIf ((BuyStop1ltSellPrice) E SellPriceltBuyPrice, SellPrice, BuyStop1) SellStop1 (SellPrice (SellPrice (PercStoploss100))) SellStop2IIf ((SellStop1gtBuyPrice ) E SellPriceltBuyPrice, BuyPrice, SellStop1) BuyStopIIf ((Compre e NÃO BuyTP2), BuyStop2, Null) BuyTPIIf (Compre E NÃO BuyStop, BuyTP2, Null) Barras BarsSince (TimeNum () gt 85400 E TimeNum () lt 092900) x0 BarCount - LastValue (Barras) x1 BarCount-1 TOPLine LineArray (x0, LastValue (TOP), x1, LastValue (TOP), 0) PDHLine LineArray (x0, LastValue (PDH), x1, LastValue (PDH), 0) PDLLine LineArray (x0 , LastValue (PDL), x1, LastValue (PDC), 0) PDMLine LineArray (x0, LastValue (PDL), x1, LastValue (PDL), x1, LastValue (PDL), 0) PDCLine LineArray (X0, LastValue (FHH), x1, LastValue (FHH), 0) FHLLine LineArray (x0, LastValue (FHL), x1, LastValue (FHL), LastValue (PDM), x1, LastValue (PDM), x1, LastValue (PDH) , 0) ComprarPricelineLineArray (x0, LastValue (BuyPrice), x1, L astValue (BuyPrice), 0) BuyStoplineLineArray (x0, LastValue (BuyStop2), x1, La stValue (BuyStop2), 0) BuyTPlineLineArray (x0, LastValue (BuyTP1), X1 LastVa lue (BuyTP1), 0) SellPricelineLineArray (x0, LastValue (SellPrice), x1, LastValue (SellPrice), 0) SellStoplineLineArray (x0, LastValue (SellStop2), x1, LastValue (SellStop2), 0) SellTPlineLineArray (x0, LastValue (SellTP1), x1, último valor (SellTP1), 0) DayHlineLineArray (x0, LastValue (DayH), x1, LastValue (DayH), 0) DayLlineLineArray (x0, LastValue (DayL), x1, LastValue (DayL), 0 ) Plot (IIf (pShowtradeLines, BuyStopline, Null), quotBuySto pquot, colorBrightGreen, styleDotsstyleNoRescale styleNoLine) Plot (IIf (pShowtradeLines, SellPriceline, Null), QuotShor t Herequot, colorRed, styleDotsstyleNoRescale) PlotShapes (IIf (pShowMarkers AND Buy, shapeHollowUpArrow, Null ), ColorDarkGreen, 0, L, Offse T-30) se (Status (quotactionquot) actionIndicator) (Título EncodeColor (colorWhite) quotTrading Systemquot quot - quot Name () quot - quot EncodeColor (colorYellow) Interval (2) EncodeColor (colorYellow) quot - quot Date () quot - quot EncodeColor (colorYellow) quot-OpenquotWriteVal (O, 1) EncodeColor (colorYellow) quot - High quot WriteVal (H, 1) EncodeColor (colorYellow) quot - Low quot WriteVal (L, 1) EncodeColor (colorYellow) quot - Close quot WriteVal ( C, 1) EncodeColor (colorYellow) quot - Vol quot WriteVal (V, 1) (quotnquot) WriteIf (Percchange, quot Change quot (Percchange) quot quotquot) quotquot anterior DayHighquotWriteVal (PDH, 1) quot, DayLowquotWriteVal anterior (PDL , 1) quot, Today HighquotWriteVal (DayH, 1) quot, Tods LowquotWriteVal (DayL, 1) WriteIf (HacgtBG3, EncodeColor (colorBrightGreen) quotUp quot, WriteIf (HacltBR3, EncodeColor (colorRed) quot-Downquot, EncodeColor (colorLightYellow) quotlt Flat Gtquot))) GfxSetOverlayMode (modo 0) GfxSelectPen (colorLightBlue, 3) GfxSelectSolidBrush (cor LightYellow) GfxRoundRect (20, 55, 180, 175, 15, 15) GfxSetBkMode (1) GfxSelectFont (quotArialquot, 10, 700, Falso) GfxSetTextColor (colorBrown) GfxSetTextAlign (0) GfxTextOut (WriteIf (SellPrice, quotTRP nível: quot (SellPrice ), Quotquot), 30, 60) GfxTextOut (WriteIf (BuyPrice, quotBuy Above: quot (BuyPrice), quotquot), 30, 75) GfxTextOut (WriteIf (BuyStop2, quotLong SL: quot (BuyStop2), quotquot), 30, 90 ) GfxTextOut (WriteIf (BuyTP1. QuotLow Target 1: quot (BuyTP1), quotquot), 30, 105) GfxTextOut (WriteIf (SellPrice, quotSell Below: quot (SellPrice), quotquot), 30, 120) GfxTextOut (WriteIf (SellStop2, quotShort SL: quot (SellStop2) , QuotVolumequot, 1.0) AddColumn (Percchange, quotChange quot, 1.2) AddColumn (BuyPrice, quotChange quot, 1.2) AddColumn (Buychange, quotChange, 1.0) CompreColumn (SellPrice, quotShort atquot, 1.2) AddColumn (SellPrice, quotShort atquot, 1.2) AddColumn (SellTP1, quotShort earn atquot, 1.2) SECTIONBEGIN (quotshort signalquot) HaClose (addTol, quotBuy Stop atquot, 1.2) AddColumn (BuyPlay, quotBuy Stop atquot, 1.2) (OH), Max (HaClose, HaOpen)) HaLow Min (L, Min (HaClose, HaOpen)) BG2HHV (LLV (Baixo, 4) ATR (OH, Max) (4) - ATR (4), 8) SetBarFillColor (IIf (O ltC, colorSeaGreen, colorOrange)) k Otimize (quotKquot, Param (quotKquot, 1,75,1,5,0.25) ), 1,5,0.25) Per Optimize (quotatrquot, Param (quotatrquot, 10, 3, 30, 1), 3,30,1) jHaClo Se nm (HL) rfsctor WMA (nm, PER) reversão K rfsctor Tendência 1 NW0 0 para (i 1 i lt BarCount i) se (Trendi-1 1) se (ji lt NWi-1) Trendi -1 NWi ji Reversi mais Trendi 1 se ((ji - Reversi) gt NWi-1) NWi ji - Reversi mais NWi NWi-1 se (Trendi-1 -1) se (ji gt NWi-1) Trendi 1 NWi ji - Reversi mais Trendi -1 se ((Ji Reversi) lt NWi-1) NWi ji Reversi mais NWi NWi-1 Plot (NW, quotquot, IIf (Tendência 1, 6, 4), 4) BuyCross (j, nw) ShortCross (nw, j) SellCross ( Nw, j) CoverCross (j, nw) BuyExRem (Comprar, Vender) SellExRem (Vender, Comprar) ShortExRem (Short, Cover) CoverExRem (Cover, Short) dist 1.5ATR (15) para (i 0 i lt BarCount i) if (Buyi) PlotText (quotBuyquot O i, i, L i - Trendi, colorDarkBlue, colorYellow) se (Selli) PlotText (quotSellquot H i, i-4, L i Trendi, colorRed, colorYellow) PlotShapes (IIf (Buy, shapeUpArrow, ShapeNone), colorWhite, 0, halow, -30) PlotShapes (IIf (Vender, shapeHollowDownTriangle, shapeNone), colorWhite, 0, hahigh, -15) PlotShapes (IIf (Capa, shapeHollowUpTriangle, shapeNone), col OuWhite, 0, halow, -15) PlotShapes (IIf (curto, shapeDownArrow, shapeNone), colorWhite, 0, hahigh, -30) SECTIONBEGIN (quotPricequot) Ribbon1IIf (EMA (Close. 13) gtEMA (Close, 34), colorGreen, IIf (EMA (Close. 34) gtEMA (Close. 13), colorRed, colorYellow)) Plot (2, quotRibbonquot, Ribbon1, styleOwnScale styleArea styleNoLabel, -0,5,100) SECTIONEND ( ) SetChartBkColor (colorBlack) f Param (quotfast emaquot, 12,1,50,1) s Param (quotSlow emaquot, 26,2,100,1) t Param (quotsignalquot, 9,1,50,1) A1EMA (C, f) - EMA (C, s) a2 EMA (a1, t) Hist a1-a2 em EMA (Hist, 2) D114 ST33StochD (14) ArEMA (RSI (5), 13) RSI13 EMA (ar, 13) Barcol IIf (st33 Gt 80, colorBlue, IIf (st33 lt 20, colorOrange, IIf (st33 gt Ref (st33, -1), colorBrightGreen, colorRed))) em34 EMA (C, 34) em20 EMA (C, 20) PlotOHLC (em34, IIf (Em34 gt em20, em34, em20), IIf (em34 lt em20, em34, em20), em34, quotquot, IIf (em20 gt em34, colorGreen, colorRed), styleCloudstyleNoLabel) SECTIONBEGIN (quotSupport-Resistancequot) SupResParamToggle (quotSup-Resquot, QuotNoyesquot, 1) SupResA Param (quotSup-Res A Periodquot, 20,0,100,1) SupResB Param (quotS-Res B Periodquot, 25,0,100,1) Res1 ParamColor (quotResistance Highquot, colorRed) R Es2 ParamColor (quotResistance Lowquot, colorDarkRed) Sup1 ParamColor (quotSupport Highquot, colorDarkGreen) Sup2 ParamColor (quotSupport Lowquot, colorBrightGreen) se (SupRes) MaxGraph 12 BuyOffSet SupResAOptimize (quotBuyOffSetquot, 18,15,20,1) SellOffset BuyOffSetOptimize (quotSellOffsetquot, 2, 2,14,2) RegLength 5Optimize (quotRegLengthquot, 5, 2,11,2) BuyATRPeriod 2Optimize (quotBuyATRPeriodqu, 2,2,5,1) SellATRPeriod BuyATRPeriodOptimize (quotSellATRPeriodquot, 4,2,11,2) ATRMultiplier 0.5Optimize (quotATRMultiplierquot , 1,0.7,1.25, .05) SuppA HHV (H-ATRMultiplierATR (BuyATRPeriod), BuyOffset) RED Ressurreição LLV (LATRMultiplierATR (SellATRPeriod), SellOffset) VERDE nnSupResB mmm100 TYP (High Low 2Close) 4 CI (TYP-MA (TYP 14)) (0.015StDev (TYP, 14)) CCCIEMA (CI, 5) mmm HhHHV (H, nn) LlLLV (L, nn) MM (HhLl) 2 CCCCEMA (CCCI (Hh-Ll) (2mmm) Ll, 5) BuyExRem (Comprar, Vender) SellExRem (Vender, Comprar) AlertIf (Comprar, quotquot, quotBUY quot C, 1) AlertIf (Sell, quotquot, quotSELL quot C, 2) noParam (quotSwingquot, 8, 1, 55) TslcolParamColor (quotColorquot, colorLightGrey) resHHV (H, no) supLLV (L, no) avdIIf (CgtRef (res, -1), 1, IIf (CltRef (sup, -1), - 1,0)) avnValueWhen (avd0, Avd, 1) tslIIf (avn1, sup, res) não Otimizar (quotTSLquot, Param (quotA (Change To Optimize) quot, 10, 1, 55, 1), 1, 55, 1) tslcolParamColor (quotColorquot, colorLightGrey) resHHV ( H, não) supLLV (L, no) avdIIf (CgtRef (res, -1), 1, IIf (CltRef (sup, -1), - 1,0)) avnValueWhen (avd0, avd, 1) dtslIIf (avn1, avd1, (Curto, C, 1) BuyPriceValueQuando (Curto, C, 1) BuyPriceValueQuando (Buy, C, 1) LongFlip (Comprar, Vender) ShrtFlip (Curto, Capa) Relaxe NÃO Longo E NÃO COMPRA E NÃO se acotovela E NÃO VENDE E NÃO VENDE E NÃO Cobertura SellSLValueQuando (Short, DTSL, 1) BuySLValueQuando (Buy, DTSL, 1) BuyDllferment BuyPrice - BuySL SellDifference SellSL - SellPrice tar1 IIf (Compre OU NÃO E NÃO SE VESTE E NÃO VENDE, NÃO COMPRE, (BuyPrice BuyDifference), (SellPrice - SellDifference) ) Tar2 IIf (Compre OU NÃO E NÃO SE VESTE E NÃO VENDE E NÃO, (BuyPrice (2BuyDifference)), (SellPrice - (2SellDifference))) tar3 IIf (Buy OR L Ñ E NÃO relaxar e NÃO VENDER E NÃO Cobrir, (BuyPrice (4BuyDifference)), (SellPrice - (4SellDifference))) CloseAtEnd ParamToggle (quotClose Positions EODquot, quotNoYesquot) stopreverse ParamToggle (quotSwitch To Stop E Reversequot, quotNoYesquot, 0) Trend ATR (21) lt StDev (C, 21) Faixa ATR (21) gt StDev (C, 21) no10 C1320 C142.1 C1512 tslcolParamColor (quotColorquot, colorLightGrey) resHHV (H, no) supLLV (L, no) avdIIf (CgtRef ( Res, -1), 1, IIf (CltRef (sup, -1), - 1,0)) avnValueWhen (avd0, avd, 1) dtslIIf (avn1, sup, res) SellPriceValueQuando (Short, C, 1) BuyPriceValueQuando ( Compre, C, 1) LongFlip (Compre, Vende) ShrtFlip (Curta, Capa) Relaxe NÃO LongO NÃO COMPRA E NÃO se encolhe E NÃO VENDE E NÃO VENDE E NÃO Cobra SellSLValueQuando (Curto, DTSL, 1) BuySLValueWhen (Buy, DTSL, 1) BuyDifference BuyPrice - BuySL SellDifference SellSL - SellPrice tar1 IIf (Compre OU Long AND NOT Relax AND NOT Sell AND NOT Cover, (BuyPrice BuyDifference), (SellPrice - SellDifference)) tar2 IIf (Compre OU Long AND NOT Relax AND NOT Sell AND NÃO Cobertura, ( BuyPrice (2BuyDifference)), (SellPrice - (2SellDifference))) tar3 IIf (Compre OU Long AND NOT Relax AND NOT Sell AND NOT Cover, (BuyPrice (4BuyDifference)), (SellPrice - (4SellDifference))) buyach1 IIf ((Comprar OU Long AND NOT Relax AND NOT Cover AND NOT Short AND NOT Shrt), H gt tar1, 0) buyach2 IIf ((Comprar OU longo E NÃO Relaxar E NÃO Cobrir E NÃO Curto E NÃO Encaixado), H gt tar2. 0) buyach3 IIf ((Comprar OU longo e NÃO relaxar e não cobrir E NÃO curto e NÃO encravado), H gt tar3, 0) sellach1 IIf ((curto ou curto e não relaxar e não vender e não comprar e não longo), L lt tar1. 0) sellach2 IIf ((Curto OU Shrt E NÃO Relaxe NÃO VENDE E NÃO Compre E NÃO Longo), L lt tar2, 0) sellach3 IIf ((Curto OU Concreto E NÃO Relaxe NÃO VENDE E NÃO Compre E NÃO Long), L lt tar3, 0) Configurações para exploração FilterBuy OU Short AddColumn (IIf (Buy, 66. 83), quotSignalquot, formatChar, colorDefault, IIf (Comprar. ColorGreen, colorRed)) AddColumn (Close, quotEntry Pricequot, 1.4 , ColorDefault, IIf (Comprar. ColorGreen, colorRed)) AddColumn (dtsl, quotStop Lossquot, 1.4, colorDefault, IIf (Comprar. ColorGreen, colorRed)) AddColumn (tar1, quotTarget 1quot, 1.4, colorDefault, IIf (Comprar. ColorGreen, colorRed )) AddColumn (tar2, quotTarget 2quot, 1.4, colorDefault, IIf (Comprar. ColorGreen, colorRed)) AddColumn (tar3, quotTarget 3quot, 1.4, colorDefault, IIf (Comprar. ColorGreen, colorRed)) AddColumn (Volume, quotVolume Quot, 1.0, colorDefault, IIf ((Volume gt 1.25 EMA (Volume, 34)), ColorBlue, colorYellow)) Capa de venda curta Compre Short ExRem (Short, Cover) Cover ExRem (Cover, Short) GraphXSpace 5 pxHeight Status (quotpxchartheightquot) Xx Status (quotpxchartwidthquot) Esquerda 1100 largura 310 x 5 x2 280 y pxHeight dist 2ATR (10) dist1 3ATR (10) iBarCount barras i messageboard ParamToggle (quotMessage Boardquot, quotShowHidequot, 1) se (messageboard) para (i 0 i lt BarCount i ) Se (Buyi) PlotText (quotnBuy: quot L i quotnT quot (Li1.005) quotnSL quot (Li0.9975), i, L i - disti, colorGreen, colorWhite) Painel de exibição de sinal SellPriceValueWhen (Sell, C, 1) BuyPriceValueWhen (Comprar, L i) LongFlip (Comprar, Vender) ShrtFlip (Vender, Comprar) BuyStop2 Li0.9975 BuyTP1 Li1.070 BuyTP2 Li1.050 BuyTP3 Li1.035 buyach1 IIf ((Comprar OU longo E NÃO relaxar E NÃO COBERTAR E NÃO Curto E NÃO EXTREMO), H gt BuyTP3, 0) buyach2 IIf ((Comprar OU longo E NÃO relaxar E NÃO COBERTAR E NÃO PRÓXIMO E NÃO ENTRAR), H gt BuyTP2, 0) buyach3 IIf ((Bu Y OU Long AND NOT Relax AND NOT Cover AND NOT Short AND NOT Shrt), H gt BuyTP1, 0) GfxSelectFont (quotTahomaquot, 13, 100) GfxSetOverlayMode (modo 0) GfxSelectPen (colorBrightGreen, 3) GfxSelectSolidBrush (colorBrightGreen) GfxRoundRect (x, Y - 163, x2, y. 7, 7) GfxSetTextColor (colorGold) GfxTextOut ((quot Trading System quot), 73, y-165) GfxTextOut ((quot quot), 27, y-160) GfxSetBkMode (1) GfxSelectFont (quotArialquot, 10, 700, False) GfxSetTextColor (colorBlue) GfxSetTextAlign (0) GfxSelectFont (quotTahomaquot, 13, 100) GfxTextOut (WriteIf (L i, quotBuy Above: quotL i, quotquot), 13, y-140) GfxSetTextColor (colorGold) GfxTextOut (WriteIf (BuyStop2, quotLong SL : Quot (BuyStop2), quotquot), 13, y-120) GfxSetTextColor (colorWhite) GfxTextOut (WriteIf (BuyTP1, quotBuy TGT1: quot (BuyTP3), quotquot), 13, y - 100) GfxTextOut (WriteIf (BuyTP2, quotBuy TGT2 : Quot (BuyTP2), quotquot), 13, y - 80) GfxTextOut (WriteIf (BuyTP3, quotBuyTGT3: quot (BuyTP1), quotquot), 13, y - 60) GfxSetTextColor (colorViolet) GfxTextOut ((quotCurrent PL. Quot WriteVal ( IIf (Comprar, (C-BuyPrice), (C-BuyPrice)), 2.2)), 88, y-22) GfxTextOut ((quotBuy Signal veio quot (BarCount-bars 1) Interval () 2 quot mins agoquot), 13 , Y-40) GfxTextOut ((quotquot WriteIf (buyach1, quot Certo: quotB UyTP3, quotquot)), 160, y-100) GfxTextOut ((quotquot WriteIf (buyach2, quot Done: quotBuyTP2, quotquot)), 160, y-80) GfxTextOut ((quotquot WriteIf (buyach3, quot Feito: quotBuyTP1, quotquot) ), 160, y-60) END do painel de exibição de sinal se (Selli) PlotText (quotSell: quot H i quotnT quot (Hi0.995) quotnSL quot (Hi1.0025), i, H i dist1i, colorRed, colorWhite) Sinal Painel de exibição SellPriceValueQuando (Sell, C, 1) BuyPriceValueQuando (Buy, H i) LongFlip (Comprar, Vender) ShrtFlip (Vender, Comprar) SellStop2 Hi1.0025 SellTP1 Hi0.978 SellTP2 Hi0.982 SellTP3 Hi0.988 sellach1 IIf ((Curto OU Shrt AND NOT Relax AND NOT Sell AND NOT Buy AND NOT Long), Lt SellTP3. 0) sellach2 IIf ((Curto OU Shrt E NÃO Relaxe NÃO VENDE E NÃO COMPRA E NÃO Longo), Ltt SellTP2, 0) sellach3 IIf ((Curto OU Shrt E NÃO Relaxe NÃO VENDE E NÃO Compre E NÃO Longo), Lf SellTP1, 0) GfxSelectFont (quotTahomaquot, 13, 100) GfxSetOverlayMode (modo 0) GfxSelectPen (colorRed, 3) GfxSelectSolidBrush (colorRed) GfxRoundRect (x, y - 163, x2, y. 7, 7) GfxTextOut ((quot quot ), 27, y-160) GfxSetBkMode (1) GfxSelectFont (quotArialquot, 10, 700, False) GfxSetTextColor (colorWhite) GfxSetTextAlign (0) GfxSelectFont (quotTahomaquot, 13, 100) GfxSetTextColor (colorGold) GfxTextOut ((quot Trading System quot) , 73, y-165) GfxSetTextColor (colorWhite) GfxTextOut (WriteIf (H i, quotSell Below: quotH i, quotquot), 13, y-140) GfxSetTextColor (colorGold) GfxTextOut (WriteIf (SellStop2, quotShort SL: quot (SellStop2) ), GfxSetTextColor (colorBlue) GfxTextOut (WriteIf (SellTP1, quotShort TGT1: quot (SellTP3), quotquot), 13, y-100) GfxTextOut (WriteIf (SellTP2, quotSh) Ort TGT2: quot (SellTP2), quotquot), 13, y-80) GfxTextOut (WriteIf (SellTP3, quotShort TGT3: quot (SellTP1), quotquot), 13, y-60) GfxSetTextColor (colorGold) GfxTextOut ((quotCurrent PL. Quot WriteVal (IIf (Vender, (SellPrice-C), (SellPrice-C)), 2.2)), 88, y-22) GfxTextOut ((Quotsell Signal was quot (BarCount-bars 1) Interval () 2 quot ago ago ), 13, y-40) GfxTextOut ((quotquot WriteIf (sellach1, quot Done: quotSellTP3, quotquot)), 160, y-100) GfxTextOut ((quotquot WriteIf (sellach2, quot Done: quotSellTP2, quotquot)), 160, Y-80) GfxTextOut ((quotquot WriteIf (sellach3, quot Done: quotSellTP1, quotquot)), 160, y-60) END do Painel de exibição de sinal Edc (WriteIf (Buy AND Ref (shrt, -1), quot BUY quotCquot quot , Quotquot) WriteIf (Sell AND Ref (Long, -1), quot SEot quotCquot quotquot) WriteIf (Sell. QuotLast Trade Profit Rs. quot (C-BuyPrice) quotquot, quotquot) WriteIf (Buy. QuotLast Trade Profit Rs. Quot (SellPrice-C) quotquot, quotquot)) TITLE SECTIONBEGIN (quotTitlequot) noParam (quotSwingquot, 6, 1, 55) resHHV (H, no) supLLV (L, no) avdIIf (CgtRef (res, -1), 1, IIf (CltRef (sup, -1), - 1,0)) avnValueQuando (avd0, avd, 1) tslIIf (avn1, sup, res) dec (Param (quotDecimalsquot, 2,0,7,1) 10) 1 se ( Status (quotactionquot) actionIndicator) (Título EncodeColor (55) Title Name () quot quot EncodeColor (32) Date () quot quot EncodeColor (5) quot quot EncodeColor (55) quot Open quot EncodeColor (52) WriteVal (O, dec) EncodeColor (55) quot High quot EncodeColor (5) WriteVal (H, dec) EncodeColor (55) quot Low quot EncodeColor (32) WriteVal (L, dec) EncodeColor (55) quot Close quot EncodeColor (52) WriteVal (C, dec ) EncodeColor (55) quot Volume quot EncodeColor (52) WriteVal (V, 1,25) WriteIf (Buy. QuotSignal: Go Long - Preço de entrada: quotWriteVal (C) quot - Traget: quotWriteVal ((BuyPrice-tsl) BuyPrice) quot - StopLoss: quotWriteVal (tsl) quot quotnquotEncodeColor (colorRed) WriteIf (Sell. QuotSignal: Go Short - Preço de entrada : QuotWriteVal (C) quot - Target: quotWriteVal ((tsl-SellPrice) - SellPrice) quot - StopLoss: quotWriteVal (tsl) quot quot quotquot EncodeColor (colorTurquoise) WriteIf (Long AND NOT Buy, quotTrade: Longo - Preço de entrada: QuotWriteVal ((BuyPrice)) quot - Lucro: quotWriteVal ((C-BuyPrice)) quot quotEncodeColor (colorLime) quotLet seu lucro runsquot, quotquot) EncodeColor (colorLightOrange) WriteIf (shrt AND NOT Sell, quotTrade: Short - Preço de entrada: quotWriteVal ( (SellPrice)) quot - Lucro: quotWriteVal ((SellPrice-C)) quot - quotEncodeColor (colorLime) quotLet seu lucro runsquot, quotquot) if (messageboard 0) if (Status (quotactionquot) actionIndicator) (Título EncodeColor (55) Título Nome () Quot quode EncodeColor (5) quot quode EncodeColor (colorSkyblue) quot quot Date () quot quotqu Otnquot EncodeColor (55) quotOpen-quotEncodeColor (52) OEncodeColor (55) quot High-quotEncodeColor (5) Hquot quotEncodeColor (55) quotLow-quotEncodeColor (32) Lquot quotEncodeColor (55) quotClose-quotEncodeColor (52) Cquot quotEncodeColor (55) quotVolume QuotEncodeColor (52) WriteVal (V) quotnquotquotnquot EncodeColor (colorLime) WriteIf (Buy, quotAction: Go Long At quotCquot - SL quot DTSL, quotquot) WriteIf (Short, quotAction: Go Short At quotCquot - SL quot DTSL, quotquot) WriteIf (Long E NÃO Compre, quotAction. Long Taken At quot (BuyPrice) quot - Trail SL quot DTSL quotquot, quotquot) WriteIf (shrt AND NOT Sell, quotAction. Short Taken Quot (SellPrice) quot - Trail SL quot DTSL quotquot, quotquot) WriteIf (Sell AND NOT Short, QuotExit Long At quotC, quotquot) WriteIf (Cover AND NOT Buy, quotExit Short At quotC, quotquot) WriteIf (NOT Long AND NOT Buy ET NOT shrt AND NOT Sell, quotAction: Not In A Trade - RELAX. Quotquot) quotnquot WriteIf (Long AND NOT Buy, quotProfitLoss: quot (C-BuyPrice) quot Pointsquot, quotquot) WriteIf (shrt AND NOT Sell, quotProfitLoss: quot (SellPrice-C) quot Pointsquot, quotquot) quotnquot WriteIf (Long OR Buy OU Shrt OR Short, QuotTarget 1: quottar1, quotquot) quotnquot WriteIf (Long OR Buy OU Shrt OR Short, quotTarget 2: quottar2, quotquot) quotnquot WriteIf (Long OU Compre OU Shrt OU Short, quotTarget 3: quottar3, quotquot) quotnquot WriteIf (buyach1, quotTarget 1 Feito: quottar1, quotquot) WriteIf (sellach1, quotTarget 1 Feito: quottar1, quotquot) quotnquot WriteIf (buyach2, quotTarget 2 Feito: quottar2, quotquot) WriteIf (sellach2, quotTarget 2 Done: quottar2, quotquot) quotnquot WriteIf (buyach3, quotTarget 3 Feito: quottar3, quotquot) WriteIf (sellach3, quotTarget 3 Concluído: quottar3, quotquot)) para (i 0 i BarCount i) se (Buyi) OUTcolor ParamColor (quotOuter Panel Colorquot, colorTeal) INUPcolor ParamColor (quotInner Panel Upperquot, colorDarkGrey) INDNcolor ParamColor (quotInner Panel Lowerquot, colorDarkOliveGreen) TitleColor ParamColor (quotTitle Color quot, colorBlack) SetChartBkColor (OUTcolor) cor de Borda externa SetChartBkGradientFill (INUPcolor, INDNcolor, TitleCo lor) cor do painel interno se (Selli) OUTcolor ParamColor (quotOuter Panel Colorquot, colorTeal) INUPcolor ParamColor (quotInner Panel Upper2quot, colorDarkTeal) INDNcolor ParamColor (quotInner Panel Lower2quot, colorPlum) TitleColor ParamColor (quotTitle Color quot, colorBlack) SetChartBkColor (OUTcolor) cor da borda externa SetChartBkGradientFill (INUPcolor, INDNcolor, TitleCo lor) cor do painel interno Las T editado por traderami 24 de setembro de 2013 às 16:55 PM. Guia Técnico de Negociação: Guia Técnico de Negociação Astro Esta foi a Previsão para a sexta-feira passada sexta-feira, 25 de março de 2011 Recuperação após a abertura. Tendência moderada em relação ao fechamento. Perto do Nível de resistência forte. Astro Technical Guide for Friday, 25.03.2011. Astro Info. Tithi. Phalguna Bahula Sapthami Day. Sexta-feira Nakshatra. Jyeshta (Lua em Escorpião). Persons born in Krittika, Uttara and Uttarashadha constellations and Sagittarius and Aries zodiac signs are advised to be alert in their dealings. Sensitive Trend change Timings for the day. 9.30am1.40pm 2.30pm Likely Intraday Trend for 25.03.2011. On the basis of planetary position and aspects amongst planets, After Opening, Market is generally expected to recover from 9.30am and remain generally better till about 1.30pm and may become subdued thereafter with sensitive time after 3 pm. Communication stock may remain better while Power stocks may remain better. Astro Technical Trading Strategy for the day. After 9.30am, if Nifty fut trades high level recorded upto 9.30am, long positions may be taken with Low level as stop loss and such positions may be closed by about 1 pm. After 2 pm, if Nifty fut trades below Average Traded Price by about 10 points, short positions can be taken with a stop loss of about 10 points above Average Traded Price and such positions may be closed by end of the day. Open level is important for intraday trading and generally, intraday short positions are suggested below Days open level only and vice versa. Stop loss is a must for intraday trading. Technical Levels for the day. Nifty spot is expected to be bullish above 5535 with resistance at 5550, 5565 and 5595 and weak below 5510 with supports at 5495, 5475 and 5450 for the day. Based on present market movement, Nifty spot would be in Bullishzone above 5520 and in Bearish zone below 5510 for Friday. Nifty spot is expected to trade between 5575 5595 on the higher side and 5465 5450 on the Lower side. After mild Gap up Opening, Nifty traded in a very narrow range through out the day and close near day high level with a gain of about 40 points, posting 3rd straight gain in a row. Market appears to have greeted Investment Guru Warren Buffets visit to India. However, Nifty is close to Strong resistance zone and might face resistance between 5500 and 5600 and Strong support exists at 5400. Hence high degree of caution is advised at higher levels. IF resistance levels are achieved in the forenoon session, buying may be avoided at higher levels and risky traders can consider short positon for a pull back to Bullish trigger level. IF Support levels are achieved in the forenoon session, selling may be avoided at lower levels and risky traders can consider buying for a pull back upto Bearish trigger level other support levels. Intraday trend given above is relative and based purely on the basis of planetary positions aspects and needs to be understood and applied depending on the realtime market movement. Technical portion and astrological portion given above should be considered together and applied for taking proper trading decisions. Disclaimer. Intraday trading is risky and Astro guidance is to be used as an additional tool in addition to technicals and adapted depending on intraday movements. Loss Gain in market depends on Individual natal chart. Creator only knows what is going to happen and astrologer can only indicate what is likely to happen . Trade only with stop loss.. Stay Disciplined for Prosperous Trading and Investing.. Dr B Amaranatha Sastry Re: Astro Technical Trading Guide Technically, Close to Last Key Resistance Level . Astrologically, an Eventful Week Ahead. Astro Technical Guide for Monday, 28th March, 2011 and general outlook for the week:: Astro Info:: Tithi. Phalguna Bahula Dasami Day. Monday Nakshatra. Uttarashadha (Moon in Capricorn) Persons born in Aardra, Swathi and Sathabhisham and persons born in Aquarius and Gemini Moon Zodiac signs are advised to be alert in their dealings. Astro Technical Position for the week . Market gained more than 5 during the week and closed at the highest level in the last Two months crossing most of the resistances on the way on Friday. Incidentally. Market started goint up from March 21, Gann Turn Date when Tropical Sun entered Aries. Now the final resistance is at 5700. which if crossed signals Medium term Bullish trend. While there were no specifc triggers for the market on Macro front, Institutional buying, aided by huge short covering. appears to have provided the required fillip to the markets. Astrologically, an eventful week is ahead with the opposition of Two slow moving planets i. e. Jupiter, a planet representing Optimism and Saturn a planet representing Pessimism and retrograde of Mercury, a planet of Communications. Retrograde Mercury signals miscommunication and market may also give false signals. Hence a period of caution is to be expected. Period from April 1 to 23 is expected to give a initial rise and fall or initial fall and then rise to the market, probability for the former being higher in view of the Mercury Mars conjunction taking place later in the month. There are no fundamental changes in global and domestic cues and only technical cues have changed during the week and Technically, Nifty becomes weak below 5500 only. As long as Nifty is above 5700. Market would remain bullish and if it is below 5600, it would remain neutral to bearish for this week. Further, being last week of FampO expiry, scrip specific action would be the order of the day. Trend change dates are 29th March and 1st April during the week. Technical Levels for the week . Nifty (spot) is strong above 5680 with resistance around 5770, 5845 and weak below 5620 with supports around 5530, 5460 for the week. Based on present market movement, Nifty would be in bullish zone above 5560 and in bearish zone below 5500 during the week. Under normal circumstances, Nifty is expected to trade between 5800 5840 on the higher side and between 5500 5460 on the lower side during the week. WD Ganns natural numbers which would act as natural support and resistance are. 5366, 5440,5514, 5588, 5663, 5739, 5815 and 5891 during the week. Sensitive Trend change Timings for the day . 10.30am 11.20am 2.40pm Intraday Trend for 28.03.11 ( First Half Better. Closing Subdued. ) On the basis of planetary position. Generally, Market is expected to remain better in the Forenoon session and may become subdued towards close of the day. Highest rates for the day are expected before noon. Communication stocks are expected to be subdued while Power stocks may remain better. Astro Technical Trading Strategy for the day . After 9.30am, if Nifty fut trades above High level recorded till then, long positions can be taken with Low level as stop loss and such positions may be closed by about 1 pm. After 2 pm, if Nifty fut trades below Average Traded Price by about 10 points, short positions can be taken with a stop loss of about 10 points above Average Traded Price and such positions may be closed by end of the day. Intraday short positions are against the general trend of the market and hence need to be closely monitored. Technical Levels for the day . Nifty Futures would be bullish above 5665 with resistance around 5695, 5725 and weak below 5635 with supports around 5605, 5575 for the day. Nifty would be in Bullish zone above 5635 and would be in Bearish zone below 5605 for Monday. Under normal circumstances, Nifty is expected to trade between 5705 5725 on higher side and 5595 5575 on Lower side . IF resistance levels are achieved in the forenoon session, buying may be avoided at higher levels and risky traders can consider short positon for a pull back to Bullish trigger level. IF Support levels are achieved in the forenoon session, selling may be avoided at lower levels and risky traders can consider buying for a pull back upto Bearish trigger level other support levels. Note. Intraday trend given above is relative and based purely on the basis of planetary positions and aspects and needs to be understood and applied depending on the market movement. Technical portion and astrological portion given above should be considered together and applied for taking proper trading decisions. Disclaimer . Intraday trading is risky and Astro guidance is to be used as an additional tool in addition to technicals and adapted depending on intraday movements. Creator only knows what is going to happen and astrologer can only indicate what is likely to happen. Whether Stock market is suitable or not is determined based on Individual natal chart and that would be helpful to determine ones favourable unfavourable period . Trade only with stop loss.. Stay Disciplined for Prosperous Investing and Trading.. Dr B Amaranatha Sastry Re: Astro Technical Trading Guide Volatile Movements with Recovery in Opening Session Mid Session Subdued . Recovery towards Close . Astro Technical Guide for Tuesday, 29.03.2011. Astro Info:: Tithi . Phalguna Bahula Ekadasi Day : . Tuesday Nakshatra . Sravana (Moon in Capricorn ) Persons born in Aswini, Makha and Moola constellations and Sagittarius and Aries zodiac signs are advised to be alert in their dealings. Sensitive Trend change Timings for the day. 9.50am11.15am 1.40pm Likely Intraday Trend for 29.03.2011. On the basis of planetary position and aspects amongst planets, After Opening, Market is generally expected to remain better in the opening session. particularly from 9.50 to 10.45 and expected to become subdued 11.15am to 1.15pm and may again recover after 1.30pm. Power stocks may remain subdued while Steel, Cement stocks may remain better. Bank stocks also may recover in Second half of the day. Astro Technical Trading Strategy for the day . After 9.30am, if Nifty fut trades above high level recorded upto 9.30am, long positions may be taken with Low level as stop loss and such positions may be closed by about 11am. After 11.15am, if Nifty fut appears to be becoming weak trades below Average Traded Price, short positions can be taken with suitable stop loss and such positions may be closed by 1.15pm.,(Intraday short positions are against short term trend hence need careful monitoring). After 2 pm, if Nifty fut trades above Average Traded Price by about 10 points, long positions can be taken with a stop loss of about 10 points below Average Traded Price and such positions may be closed by end of the day. Open level is important for intraday trading and generally, intraday short positions are suggested below Days open level only and vice versa. Stop loss is a must for intraday trading. Technical Levels for the day . Nifty spot is expected to be bullish above 5700 with resistance at 5732, 5760 and weak below 5675 with supports at 5640, 5615 for the day. Based on present market movement, Nifty spot would be in Bullish zone above 5685 and in Bearish zone below 5670 for Tuesday. Under normal circumstances, Nifty spot is expected to trade between 5745 5760 on the higher side and 5630 5615 on the Lower side. Nifty traded in positive zone with Bullish bias and closed with a gain of about 30 points. straight 5th day of Gain. Nifty appears to have entered Medium term bullish zone having crossed most of the resistances and can go up further. Hence any retracement may be utilized for taking long positions. Stop loss for existing long positions may be maintained at 5550(on close basis). IF resistance levels are achieved in the forenoon session, buying may be avoided at higher levels and risky traders can consider short positon for a pull back to Bullish trigger level. IF Support levels are achieved in the forenoon session, selling may be avoided at lower levels and risky traders can consider buying for a pull back upto Bearish trigger level other support levels. Intraday trend given above is relative and based purely on the basis of planetary positions aspects and needs to be understood and applied depending on the realtime market movement. Technical portion and astrological portion given above should be considered together and applied for taking proper trading decisions. Disclaimer . Intraday trading is risky and Astro guidance is to be used as an additional tool in addition to technicals and adapted depending on intraday movements. Loss Gain in market depends on Individual natal chart. Creator only knows what is going to happen and astrologer can only indicate what is likely to happen . Trade only with stop loss.. Stay Disciplined for Prosperous Trading and Investing.. Dr B Amaranatha Sastry Re: Astro Technical Trading Guide Susheel started this thread in which Mr. Amarnath sastry was suppose to predict. Meanwhile 4209211 and beeru73 also started the same. beeru73 playing ignorantly with a senior person. a shameful activity. I would like to ask tradeji to interfere and stop such things. I agree this is a forum but for that there are certain rules and manners. If these are not followed then. no meaning. Useless posts are also being thanked. Have a nice day JBest
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