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created : 1 year ago| |  live deployment: 98

created : 1 year ago |  live deployment: 98

BankNifty CockTail

Strategy description

BankNifty CockTail is an option selling strategy designed to trade in BankNifty index It trades with one pair BankNifty straddle and one pair BankNifty Strangle. It enters after 3 PM to collect overnight decay and then operates with the same positions the next day like intraday strategies. It takes aggressive OTM hedges as support to make sure positions wont give major loss during huge gap up or down opening. It does not carry any overnight positions on weekly expiry day.


  • Capital : 160000

  • Entry time: 3:07

  • Exit time: 3:03 next day

  • Entry Cut off: 2:30 next day

  • Profit: Dynamic

  • TSL activation: Dynamic

  • Expected Drawdown : 6%

  • Dynamic SL/ profit booking: Yes

  • Number of trades per month: 320 (Approx)


User's responsibilty : Users are rquested to keep 5 to 10 % more capital than the recommended capital as per their broker and to handle capital rise by exchange on rising VIX days. Once capital is properly maintained and token has been genrated between 8:30 AM to 9 AM, 95% cases there will not be any execution issue. Still if any error on your live deployment, you will get notification via whatsapp or get call from Tradetron. Please check notification log in the deployment to understand the issue and fix it as soon as possible. Once deployment will be in error, strategy stops working which can result in unexpected results. If you are unable to fix the error then connect with us via our telegram group or via personal telegram id mentioned above. We will help you..


User's Algo Awareness : In tradetron , though the strategy logics same for all, the strategy logics depends on entry strike and entry price of the user. For example if one user enters the position at 300 and if another user enters the position at 305, for both of them, the adjustments may differ and hence the day end result may differ too. Users should understand the fact and accept the end result. In long run mostly it evens out and all users PNL mostly matches.

With reduction in returns in recent days, users should prefer a low cost or 0 brokerage broker or contact us to understand the cost optimization approach to get better net ROI end of the month..

While choosing a broker user should research properly to make sure broker API is reliable with least execution issues. We can help you with our feedback.


Disclaimer : Market Star is not a SEBI registered advisor. We do not claim in attractive ROI. Please contact your investment advisor before deploying the strategy in live. Option trading is 100 % risky, you should deploy this strategy only if you have complete understanding of option selling/trading else better to avoid it.


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