adbackup6's profile picture. Passionate Part-time Trader, Not a good Investor. I am a random trader and there is no method to my entry and exit.

AD trades

@adbackup6

Passionate Part-time Trader, Not a good Investor. I am a random trader and there is no method to my entry and exit.

Pinned

FY 25 Update: Capital: ~173 L Gross Profit: 118 L Charges: ~9L (Less than 8L showing, but my estimate was higher) Net Profit: ~109L (~63%) Max DD was ~8%, dont remember exactly. Anything above 30% is a good year for me, so no complaints (1/4)

adbackup6's tweet image. FY 25 Update:
Capital: ~173 L
Gross Profit: 118 L
Charges: ~9L (Less than 8L showing, but my estimate was higher)
Net Profit: ~109L (~63%)
Max DD was ~8%, dont remember exactly. Anything above 30% is a good year for me, so no complaints (1/4)

FY 24 Update: Capital: ~1.22 Cr Gross Profit: 54.5L (~45%) Charges: ~4L (actual is showing 3.6L) Net Profit: ~50.5L (~41%) Biggest Loss: ~6.8L on Mar 28😅 Biggest Gain: Don't remember, around 2.7L Biggest DD: 9-9.5% on Feb 14 Tough year, next year will be tougher I guess (1/n)

adbackup6's tweet image. FY 24 Update: 
Capital: ~1.22 Cr
Gross Profit: 54.5L (~45%)
Charges: ~4L (actual is showing 3.6L)
Net Profit: ~50.5L (~41%)

Biggest Loss: ~6.8L on Mar 28😅
Biggest Gain: Don't remember, around 2.7L
Biggest DD: 9-9.5% on Feb 14

Tough year, next year will be tougher I guess (1/n)


A huge gap up and I am caught out badly again. Will see my biggest loss since tariff day (April). Not hedged on calls..in spite of so many lessons, somehow my poor trading habits not going away. A negative (and big!) month after April. Reminder to myself: Pls hedge!


Haven't been updating here since April disaster. Had a quiet Q2 after ending Q1 in overall positive. October is going negative as I got hugely caught in bnf shorts, Relentless move and I held on a lot till today 😪. Now exited most but have some far ones.


Was just lucky to start trading at the right time @SEBI_updates just wants to keep on meddling with things, 0 certainty, 0 thinking, 0 concern for traders. Just dont change things for a year atleast. Always playing to justify their salary and forward their self agenda.


With lots of luck, came out of DD which started in Apr, ending the quarter marginally green. Was a very difficult phase, thanks to all who provided supporting messages 🙏 Not actively trading as before and not keeping any targets for the year


This year is becoming a bigger disaster. Complete break after tomorrow (have some minor positions open). Will restart in June. Not going to discuss %, its very big!


Nothing is working for me. My guesses on risk on/risk off is just completely gone for a toss. A break is needed. Will be off X for a while and try to break this dreaded run


What a ridiculously poor month. This was like first to start wins. Big premiums were expected to melt, but i think nifty last week made people short even further today. Nothing left at all. Pin looks certain again Manual trading is not viable in such days.


Skip on the easy day and trade due to fomo. Wow 😄 Another red day. Lucky that sizing was lower but still couldn't much.


I have a bad feeling for this entire year My bad decisions - led me to my highest DD, dint trade yesterday And tmr premiums are going to crash. So have to recover my huge DD in low premiums Trade and get depressed and not trade and get depressed. Getting hit both ways 😢


Deep DD now. Highest ever. Break time, to try and forget this week and hopefully avoid overtrading.

Biggest loss day in absolute terms. 6% loss today. % wise also, I am relieved actually since there wasn't proper hedge and losses could have been anything. Disappointed because I lost 1% at the very end and couldn't exit all the calls and have a bad feeling abt gap up now



Biggest loss day in absolute terms. 6% loss today. % wise also, I am relieved actually since there wasn't proper hedge and losses could have been anything. Disappointed because I lost 1% at the very end and couldn't exit all the calls and have a bad feeling abt gap up now


Loss is going to be my biggest ever. Will take a break and hopefully take things very slowly, overtrading in discretionary after a very big loss can be a much bigger disaster.

Taking positional in this trade war is biggest stupidity on my part. Inspite of less sizing, loss is obviously going to be big on monday. This April will be a huge challenge, my biggest intramonth overall loss was in Oct 24 where i was ~6% down. Will April break that?



Taking positional in this trade war is biggest stupidity on my part. Inspite of less sizing, loss is obviously going to be big on monday. This April will be a huge challenge, my biggest intramonth overall loss was in Oct 24 where i was ~6% down. Will April break that?


Escaped today as I had put shorts but uselessly overshorted 23200 calls at open..took a hit there. Ended in green but not much. Looking like a long recovery process this month due to mistakes of first 2 days


Losing streak , day 2. Non expiry is as it is difficult but with event risk it wasn't a great idea to trade as usual. Apr has been a struggle last 2 years. This year looks like joining that list


Very poor start to the year! One of those days I lost my patience and traded poorly. Had to see a big red mtm especially in the spike down. Held on way too long even after that. Back to reality after a decent 3 months and FY. Will already need a break 😄


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