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Old 15-07-2015, 08:11 PM
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Originally Posted by asnavale View Post
And Losses will be more than doubled

-Anant

Don't know what is the actual reason behind this move, if they really think about small trader they should have made it a lot of 100 shares instead of 1000 /2000 shares ,so that we can short future / hedge our holdings.This move will force the retail small trader to be more IMmature. With this move of SEBI , retail traders will never be matured and market will remain concentrated to HNI /DII /FII. Instead of increasing lot size, they should educate retail trader through broker , make them aware of risk in FNO trading and making lot size of 100 shares each would have helped the Indian stock market as well as retail traders to mature. This move will help the retail traders to face more loses. We , the Retail traders are Minority shareholder of Indian stock market , no body actually think about us.
This is just my personal view.
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Old 15-07-2015, 09:51 PM
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You are right . Surely they will come back to us . where the FII and DII will get food ?
The retailers are their prey .Without us they cannot survive for long .
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Old 15-07-2015, 10:12 PM
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Good move .
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Old 15-07-2015, 10:15 PM
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Those who really make money will make more money from trading in F&O .
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Old 15-07-2015, 11:08 PM
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Originally Posted by Sunshine View Post
You are right . Surely they will come back to us . where the FII and DII will get food ?
The retailers are their prey .Without us they cannot survive for long .


Last edited by mmca2006; 16-07-2015 at 11:04 PM.
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Old 16-07-2015, 12:38 AM
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Yes , there move is for benefiting most to dabba operators. Dabbas unanimously complained about shrinking possibility with smaller lot size. And being a "Big Dabbooooo" they cant deny their requests.
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Old 16-07-2015, 07:51 AM
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My 2 cents-
Go through the Sebi archive and find out what happen after Sebi increased the lot site during 2002. There was a bull run rather huge bull run upto 2008. Once they reduced.............. Dont know the rationale behind it but anticipating similar bull run again. No doubt it may reduce retail participation, hedging will be costly but why they should bother for a retail trader?
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Old 16-07-2015, 10:20 AM
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Originally Posted by MiniTrader99 View Post
My 2 cents-
Go through the Sebi archive and find out what happen after Sebi increased the lot site during 2002. There was a bull run rather huge bull run upto 2008. Once they reduced.............. Dont know the rationale behind it but anticipating similar bull run again. No doubt it may reduce retail participation, hedging will be costly but why they should bother for a retail trader?

There is no doubt that they are doing this for the big players. Sure they don't care about retail.
Possible reason behind the bull run could be retail there was more participation in the cash segment(small,midcap etc..) This time, we have to wait and see, if the cash volumes are increasing.
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Old 20-07-2015, 01:39 PM
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If the risk is high on higher lotsize than trade OTM/ATM options in same directional, way to reduce dollar risk. Options have 2 scenario of wins against 1.
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Old 20-07-2015, 07:25 PM
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Originally Posted by devdas View Post
If the risk is high on higher lotsize than trade OTM/ATM options in same directional, way to reduce dollar risk. Options have 2 scenario of wins against 1.

yes, correct ,now I will go for credit spread with far OTM with high probability of winning, THANKS SEBI
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