created : 1 year ago| |  live deployment: 0

created : 1 year ago |  live deployment: 0

IV Strategy SSWIFT

Strategy description

Strategy Description

It’s a Quant based statistical model where trades based on Statistical Advantage of High Probability and High Returns with High Expectancy and has adaptive Risk Management Parameters that are designed in such a way that it can handle both RANGE BOUND and trending INTRADAY Markets.

“IV Strategy SWIFT” is a BANKNIFTY Option selling STRADDLE strategy for INTRADAY users with HIGHLY aggressive approach, not just with the objective of “earning theta” but also gaining profit by taking position that are direction biased based on certain parameters.

Entry will be taken after certain condition satisfied and sell CALL and PUT of BANKNIFTY Index, exit at 1500 hrs as a universal exit or met it with defined SL’s.