created : 8 months ago| | live deployment: 1
Strategy description
(NIFTY Options)
Strategy Overview
This is a positional NIFTY option buying strategy designed to capture directional moves using next-week expiry options.
Trades are not taken daily
Average 6–7 trades per month
Entry is executed around ₹100 option premium
The strategy focuses on controlled risk with defined loss and reward parameters.
Risk & Reward Profile
Maximum Loss per Trade: ₹3,500
Maximum Profit per Trade: ₹5,000
Maximum Loss per Trade: ₹3,500
Maximum Profit per Trade: ₹5,000
Risk is predefined and capped for every trade.
Capital Requirement
₹10,000 per lot (1× position)
₹10,000 per lot (1× position)
Support
? Email: [email protected]
? WhatsApp / Mobile: +91 86609 04123
Disclaimer
This strategy is provided for educational and informational purposes only.
I am not a SEBI-registered investment advisor or portfolio manager.
Trading in Futures & Options involves substantial risk and may result in financial losses.
No guarantees of returns are provided.
Please understand the risks involved or consult a qualified financial advisor before trading.
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