Low-Risk Option Strategy for Current Market Situation - Approx 66% ROI??

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  • Опубліковано 3 лис 2024

КОМЕНТАРІ • 766

  • @PRSundar64
    @PRSundar64  3 роки тому +49

    Interactive Webinar and Discussion on Options Trading in NSE - Opportunities & Challenges On Aug 22, 2021, 4.30PM to 6.00PM
    Registration Link: www.digital-infomedia.com/nse-trading/

    • @yourkaushik
      @yourkaushik 3 роки тому +6

      I tried registering using this link, but post entering the details and clicking on submit, the page shows error as "Page not found". What to do sir, please help

    • @deepakdk5974
      @deepakdk5974 3 роки тому +4

      Yes I'm getting the the same error, not able to register

    • @narenkumar5241
      @narenkumar5241 3 роки тому +3

      Sir after registering, i m getting error like - PAGE NOT FOUND 404. Is it like only few can attend the webinar ( like only 500 people or 1000 people who register 1st)

    • @ashishjadhav5155
      @ashishjadhav5155 3 роки тому +3

      Not working

    • @Surendra_1
      @Surendra_1 3 роки тому

      No matter how much of strategy you give sir adjustments and conviction to adjustments won't be easy for newbies 🔥🔥🔥🔥. Either way thanks for perspective effort from your end.

  • @subhasbanerjee2878
    @subhasbanerjee2878 3 роки тому +89

    Your honest statement about free training is really appreciable. Whatever you are sharing in youtube that is also not small.
    Thanking you

  • @shovanbanerjee5950
    @shovanbanerjee5950 3 роки тому +30

    Every Day I am getting you in a new way.. You are really a man with big heart.. Your humbleness and power of telling strong words flat on face in a very light note really teaches us many things.. You are a great man Sir !!! Just love you ..Respect you from the bottom of my heart... Long Live PR Sundar...

  • @vikramdeshmukh1207
    @vikramdeshmukh1207 3 роки тому +30

    Key takeaway for me ... No strategy is perfect. If strategy you've starts failing, then must have a plan B to counter the losses.

  • @dietkebab
    @dietkebab 2 роки тому +3

    Excellent strategy. A ratio spread will achieve the same thing (risk/reward ratio). Buy 1 ATM call option and sell 2 OTM call option, ensuring it is done for a credit. I should emphasis it must be call options and ideally on index options ( SPY, QQQ or Nifty etc. ). To summarize the risk to this trade is a big move up because of the 17000 call sold. But the market rarely moves up fast, it tends to move down fast hence why Mr Sundar's strategy is a smart one.

  • @vijayk9457
    @vijayk9457 3 роки тому +35

    Since August 12th has passed already....we can apply this strategy today only for Oct short straddle and Dec PE Buying. It's giving 93 points premium.

    • @optionsmarket8797
      @optionsmarket8797 3 роки тому +2

      How to buy December PE in aug month, can u plz explain

    • @vijayk9457
      @vijayk9457 3 роки тому

      @@optionsmarket8797 Search Dec 17k PE and buy same lot as others. Provided if your Broker is allowing you to buy Dec 17k PE.

    • @dattjadhav2374
      @dattjadhav2374 3 роки тому

      @@vijayk9457 when we search for December month, we get mgs low volatility please explain why...??

    • @sriramh
      @sriramh 3 роки тому

      @@dattjadhav2374 if you are with zerodha .. pls change broker first 😂😂😂

    • @dattjadhav2374
      @dattjadhav2374 3 роки тому +1

      @@sriramh no sir I am with Angel broking

  • @Vidyasagarbb
    @Vidyasagarbb 3 роки тому +2

    First video after long long long time which is not meant for trolls but for genuine followers. Pls continue this. Less than 0.1% people care about trolls and hence 50% of video should not be dedicated to trolls. Good to see that not happening in this video.

  • @ramanujamranganathan2320
    @ramanujamranganathan2320 3 роки тому +35

    I remember you saying "Successful people think differently ". This strategy proves you are too good at innovation. Always ahead of others... Hat's off to you Sir!🙏🙏

  • @suhasshivalkar9553
    @suhasshivalkar9553 3 роки тому +18

    Sir, I highly appreciate your frankness and methos of explanation. If money permits, i shall certainly attend your class. Thanks for free videos and Regards.

  • @rameshiyer4332
    @rameshiyer4332 3 роки тому +8

    Margin required for positional ATM Short Straddle next month + PE buy nxt mt is minimum 1.6L and not 1L, so the returns on capital showed ideally should be half of what is shown here.

  • @moneyheist7033
    @moneyheist7033 3 роки тому +1

    போர்த்தந்திரம்..... தோல்வி அடைந்து கொண்டிருக்கும் போதும் கூட வெற்றி அடையா தந்திரம் சூத்திரமும் தேவையானது.
    மிகவும் நல்லது. நன்றி🙏💕.

  • @learngrow9370
    @learngrow9370 3 роки тому +8

    Your strategies opening up new avenues of thinking. பெரிய வணக்கம்.

  • @KCPRAJ
    @KCPRAJ 3 роки тому +27

    PR sir..request you to consider it as a charity and do a series of videos with a trade of your own..Explaining real time market adjustment.. Everyone will get benefitted....Hope you consider small traders request..

    • @thepiyush101
      @thepiyush101 3 роки тому +6

      You want to learn his strategies which need 20-30 lakhs of funds but you dobt want to pay for it?
      Are you a compulsive begger?

    • @sugandeva
      @sugandeva 3 роки тому

      @@thepiyush101 First better to have a video on how much capital required. Its ranging between 10 to 30 lacs now.

    • @KCPRAJ
      @KCPRAJ 3 роки тому +6

      @@thepiyush101 mind your words buddy....Everyone knows how to do straddle and strangles,ironfly,butterflies(both credit and debit)..But one out of 10 makes profit ,because adjustments in real time market is important ..Delta compensation is critical,IV plays a key role..It's not all about 25lac capital..You can work with less capital i.e.mx.of 5 lac with one lot with proper adjustments...Compulsive beggars are those who just spells and doesnt know the real meaning..

    • @KCPRAJ
      @KCPRAJ 3 роки тому +3

      @@thepiyush101 You deploy the same strategy tomorrow without any adjustments and see the results and comment here..Then I will see ..Imagining you state then😀😀

    • @mariaclaretnelson9533
      @mariaclaretnelson9533 3 роки тому

      Less capital strategy

  • @rofl5733
    @rofl5733 3 роки тому +87

    This strategy can be named the "Ati Sundar" Strategy

  • @saulgoodman980
    @saulgoodman980 2 роки тому +2

    3:00 I appreciate your honesty

  • @ymsreddy2843
    @ymsreddy2843 3 роки тому +1

    Yes, Adjustments is very important. Not strategy.

  • @Raja-xq9mz
    @Raja-xq9mz 3 роки тому +2

    Sir Why need to sell 17000ce @ just 20..instead if you can sell September put and buy December put will reduce margin..

  • @arianjain
    @arianjain 2 роки тому

    Your way of speaking is like ur teaching like in school........I like u sir......

  • @rsk506
    @rsk506 3 роки тому +21

    Thank you so much for making to think in different zones for beginner like me..baby steps with a master like you behind😍

  • @PassengerRishabh
    @PassengerRishabh 3 роки тому +22

    Sir i learnt from you a lot and i am your biggest fan and i also know your annual trading income you are great❤️❤️❤️❤️I want to learn more from you sir recover well...and do take care of your health...i have also created a fan channel on you

  • @dineshjagtap3186
    @dineshjagtap3186 3 роки тому +1

    What is the reason Bought..Dec 17k PE..? Why not Oct/Nov?

  • @alinamikelle8688
    @alinamikelle8688 2 роки тому +11

    Thanks for making this video that I finally understand the options trading. options trading has really transform a lot of people, making money make me live a luxury life and give my family the best

    • @pdrtdr2774
      @pdrtdr2774 2 роки тому

      @Betsy Schwartz hi talk to me abt it

  • @plusorminus6517
    @plusorminus6517 3 роки тому

    At the money nifty ce/pe range mostly 100rs trade at 5 days before expiry (weekly option)
    So we go future and hedge at the money option means we req margin of around 25000+7500 for option buying
    Assume 35000
    If we earn 200 points we get 7500
    Nearly 25% return on investment
    Maximum risk also 25% from margin
    What's your opinion sir
    I like to speculate instead of long term option selling

  • @jayrojdiya4360
    @jayrojdiya4360 3 роки тому +3

    I knw ur
    .among the top option trader/sellers in india n i m an option buyer with very small capital...n have been following u for last 8 months....n learnt a lot from u in a very simple manner bcj ur logic n explanation skill..however i wud like to request u ..a simple option buying strategy if h can give..bcj..i am fan of ur logical n practical explanation...thnx a lot...🙏🙏

    • @swagger_z
      @swagger_z 3 роки тому

      Option buyer will make money only if market moves in one direction but it happens rarely

    • @jayrojdiya4360
      @jayrojdiya4360 3 роки тому +1

      @@swagger_z no during intraday..it gives various moves..that i want to catch..

    • @swagger_z
      @swagger_z 3 роки тому

      @@jayrojdiya4360 If u want to catch something in buying options, you will never catch. 😂 Here time and luck plays a major role. Moreover, option buying is meant for hedging and people are so greedy that they want to make huge profits in less time and therefore they are losing.

    • @jayrojdiya4360
      @jayrojdiya4360 3 роки тому

      @@swagger_z okkkk

    • @RaazUpsc
      @RaazUpsc 3 роки тому

      Create a Bull call spread buying 16550 ce and selling the call option eg 16700 which u think that it will not go beyond that.

  • @pendyalanagaraju
    @pendyalanagaraju 2 роки тому +1

    Please check the risk profile of the trade, a bearish trade for bullish outlook , if Nifty spikes up the trade will loose .. thanks

  • @Theoryofnegativity
    @Theoryofnegativity 3 роки тому +1

    Sir whats the point of selling 17000 CE @22. With this much premium and also with a directional view i think its better to make this strategy as DEEEP iTM PUT Sell.
    22 Rs premium is not going to go anywhere rather it will go higher. Also its the Put for Dec which you bought will hedge your poaition rather than the Call sell of 22.

  • @satya4184
    @satya4184 3 роки тому +1

    Sundar what will say about nifty 16500 strong support, now sgx nifty below 16200 ..?

  • @perumalnadar8321
    @perumalnadar8321 Рік тому +1

    Because of stop loss I got a profit of three lakhs 👍

  • @sivakumarkothandaraman5513
    @sivakumarkothandaraman5513 3 роки тому +2

    How we sell sep 1700PE @1152 & how can we buy dec 17000 pe @1116. Is it any logic is there how can buy dec pe lower than sep pe you sold?

  • @ronaldovenkat
    @ronaldovenkat 3 роки тому +1

    As Sir said Dec month put price is more, we can buy 17000 PE in October expiry by paying 540 Rs and collect 564 Rs in short straddle September month so that the loss on the downside is just 875 Rs per lot

  • @mubashirakkarakkadan3314
    @mubashirakkarakkadan3314 3 роки тому +1

    You always gives a new perception of thinking that's enough more than anything

  • @saubhagyaparida5686
    @saubhagyaparida5686 3 роки тому +2

    How price of Nifty sep 17000 pe is more than Nifty dec 17000 pe.There might be something wrong

  • @sathishmenon8639
    @sathishmenon8639 3 роки тому +1

    Very Frank opinion. It was nice of you to be upfront in saying that every thing cannot be given away for free

  • @MarketIcons
    @MarketIcons 3 роки тому +1

    When the Sep 17000 CE is at ~50, why have we added this? If the market moves up, the premium will go up, and if it moves down, then the max we can get is 50! Why can't this be just a Sep 17000 PE sell and Dec 17000 PE buy strategy?

  • @mjpawar9453
    @mjpawar9453 3 роки тому +1

    Good strategy sir...i observed that u r very proffesional..but some times gives good gift to we people..free of cost..

  • @sofiakurien3801
    @sofiakurien3801 3 роки тому

    You shared this in Aug last week..confident Nifty will cross 17000 by Dec 21
    But now in Sep last week it is already crossed 17000 ..now heading towards 18000 !!!..
    .

  • @shakulvlog8819
    @shakulvlog8819 3 роки тому +27

    At-least you should share where you do the adjustment if the market goes against this strategy so that we can also enter in to this position with A lots of confidence ... any way thank you Sir for sharing your strategy with us and we are soo kind of you

    • @Arbaazkhanfit
      @Arbaazkhanfit 3 роки тому +1

      Practice bro practice . Use sensibull

  • @PatrickMoore-l8r
    @PatrickMoore-l8r Рік тому

    this is the great way to start your career in trading

  • @aviatorsmail07
    @aviatorsmail07 3 роки тому

    It has not worked out to be worthwhile> is it?

  • @shanshammer9365
    @shanshammer9365 3 роки тому +1

    How do you buy or trade options 5 months away? which broker allows ? Kindly Guide ...

  • @Suniltricks09
    @Suniltricks09 2 роки тому

    We traded September and December series. When to squire of or exit this trade sir?? September expiry or December

  • @RanjanKumar-lb6pl
    @RanjanKumar-lb6pl 3 роки тому +2

    Sir what if you were bearish at this time which strike would you have selected for straddle considering LTP for nifty to 16500 and which strike would you have selected for additional buy. Can we use weekly for additional buy
    Thanks

  • @ravikumar55555
    @ravikumar55555 3 роки тому +15

    Sir, This is more or less a calender strategy (if you remove Sold CE which has negligible premium).. Still like your thought process

  • @arvindudyavar8688
    @arvindudyavar8688 3 роки тому

    1. Because 12 th August has passed long back whether the strategy can be applied for October using January 2022 put optoon buy?
    2. Could you not advise some sample pitfalls which may be encountered encountered.
    As you and even some trainees may feel discriminated if you give free of cost all the fire fighting adjustments needed in the strategy if things do not unfold as per expectation .
    3. In this market one does face the risk,remembering abhiman u

  • @Pickachu_Melody
    @Pickachu_Melody 3 роки тому +4

    If Mansun Consultancy gets listed, I will definitely buy as many shares as possible.
    Sir, I guess its time to go public.

    • @Razrman
      @Razrman 3 роки тому +1

      Excellent idea for going bankrupt.

  • @sukiramasamy139
    @sukiramasamy139 3 роки тому +1

    This strategy is directional. You will end up in loss if market goes in opposite direction. You can see this has profit of 32points as nifty is nearing 17000. You can check his strategy in reverse direction( selling 16000 sep call and put, buy dec 16000 call on 17th aug) for testing purpose, it is 30points loss
    You will have loss if the direction goes wrong.

  • @asdfgh5757
    @asdfgh5757 2 роки тому +1

    17000PE for SEP is 1152 and 17000PE for DEC is 1116, not sure how the DEC premium is less than SEP premium for the same strike price.

  • @krishnarajan8707
    @krishnarajan8707 3 роки тому +3

    Sir, Thank you very much for sharing one strategy which I was expecting from you.
    I am watching your videos daily. It is amazing. Please continue. RAJAN, BANGALORE. .

  • @sandeepkarmarkar
    @sandeepkarmarkar 3 роки тому +2

    Sir, how come the price for 17000 PE same for Sep and Dec (11XX)?

  • @sivakrishna6134
    @sivakrishna6134 3 роки тому

    Thank you very much guruji for saying this
    But luckily one more Telugu popular UA-cam trading channel he said everything without taking single paisa including adjustments I am very proud being a Telugu human being 🔥🔥🔥🔥🔥🔥🔥🔥

  • @janeykyon
    @janeykyon 3 роки тому +1

    Sir..What is the additional benefit with selling 17000CE? its premium is only small..may be we get better margin without selling 17000CE?

  • @umeshv2608
    @umeshv2608 3 роки тому +3

    December 17000 PE looks incorrect till 2nd Aug, because on 2nd Aug 17000 PE for September expiry is 1059 and it is 1026 for December expiry. In simple terms I am selling something at a higher price in September and buying that at a lower price in December and have guaranteed profits of that 23 INR. I suspect this could be due to impact cost and low volume

    • @Raja-xq9mz
      @Raja-xq9mz 3 роки тому +2

      Correct.. Dec month premium should be higher

    • @dharmendrakumar-xx5fm
      @dharmendrakumar-xx5fm 2 роки тому +1

      Correct. He is just misleading people... He has very limited understanding but showing that he is the God of option trading

  • @moneyheist7033
    @moneyheist7033 3 роки тому +3

    Google Had Mr. Sundar Pichai
    You Tube Had Mr. PR. Sundar.
    Both of come from TAMIL Nadu.. தமிழ்நாடு மாநிலத்தில் .... மும்பையை கலக்கும்... கதாநாயகன்

    • @MarketChaser
      @MarketChaser 3 роки тому

      Bro Namma channel la paarunga daily Pre market and Post Market Analysis on Nifty and Bank Nifty Tamil la poduren kandippa paarunga useful ah irukkum. 👍

  • @vickypatel2695
    @vickypatel2695 3 роки тому +3

    I am learning everything about options through this channel. 🙏 Great stuff

  • @krishnaraog6670
    @krishnaraog6670 2 роки тому +1

    Good theoretical strategy but in practice, that much far options are illiquid i.e., while in August trading September is OK but December is too far and far away premiums are high and illiquid

  • @narayanrathod6935
    @narayanrathod6935 3 роки тому +178

    I can say this is seminar advertisement 😂😂

    • @bharathrajendran7602
      @bharathrajendran7602 3 роки тому +7

      @@hisyamsundar Exactly, this is what even I felt!!!!!!!!!!!!!!!!!!!!!!

    • @narayanrathod6935
      @narayanrathod6935 3 роки тому +17

      @@bharathrajendran7602 PR Sundar master in advertisement stretagies too 😂😂

    • @Svarnandini4080
      @Svarnandini4080 3 роки тому +2

      Let me skip n go straight to the link.thanks

    • @atulmudgal3125
      @atulmudgal3125 3 роки тому +2

      Webinar is free now

    • @karthikprasadk
      @karthikprasadk 3 роки тому

      Ofcourse .. what's the problem in that

  • @karthikeyanmuthusamy8067
    @karthikeyanmuthusamy8067 3 роки тому +1

    Why we need to sell 17k CE at low price. Instead you can sell 16.5k CE ??

  • @ItsMeFigo
    @ItsMeFigo 2 роки тому

    CESL cmp - 0.38paisa is fundamentally strong it looks. Does it have a future like visesh info. I got visesh info at .20 paisa it rallied to 1.8 rs. Will cesl have same potential? Your views plz.

  • @Atul_Bhardwaj
    @Atul_Bhardwaj 3 роки тому +21

    It could be called "Put Calender Hedge".

  • @anildighe495
    @anildighe495 3 роки тому +4

    Sir highest regards for you, you help people by giving knowledge, You are truly God blessed

  • @manojkrishnan5304
    @manojkrishnan5304 2 роки тому +1

    42% and 66% annualised ROI is outstanding if your capital is huge.... In options you don't invest much... Say only 1 lak then you make only 66000 in one year... But in business you easily invest 20 lak and make 20% ROI is 4 lak annual , which is good... Don't give foolish comparisons....

  • @mahakalsingh6808
    @mahakalsingh6808 3 роки тому +2

    Sir, under which broker you will create such strategy with only 1lac margin? Plz inform 🙏

  • @ratnareddy215
    @ratnareddy215 3 роки тому +2

    Can someone please help me understand one thing here. What is the use of selling 17000 CE @22. It neither helps to reduce the margin (Because without that we are in calender spread) nor increases the profits (only small extent only). It only gives huge loses if Nifty inches towards 17K

  • @aniketbhise
    @aniketbhise 3 роки тому

    Are strategies made based on one's view (bullish / bearish)? Is it not possible to analyse the trend of the market and then decide if it's bullish or bearish?

  • @johnpascal4808
    @johnpascal4808 2 роки тому

    Brother...On the expiry day.....Should we close the position or leave?

  • @salilvaidya2197
    @salilvaidya2197 3 роки тому

    Sir,
    1. Could you please elaborate why you have chosen short straddle for you bullish view and not used simple strategy like Bull Spread (with December hedge) ?
    2. Secondly this strategy involves 2 different expiries - Sept and Dec. As per my understanding, you will come out from all positions in Sept itself. Is my understanding correct ?
    Kindly explain, as it can be a great help for all of us in understanding the strategy better.

    • @deerame
      @deerame Рік тому

      I think this strategy he gives to us just to mock us. You can not buy or sell such a far month position due to liquidity issues. Which broker allows?

  • @joychowdhury3417
    @joychowdhury3417 3 роки тому

    Which broker allows option trading of more than 3 months ahead in Nifty? My broker says that is allowed as per SEBI guidelines. Kindly advise.

  • @nareshkoyalkar8370
    @nareshkoyalkar8370 2 роки тому

    Sir, now are days people are getting huge retunes even from small business but low risk any way your are good explainer in india thank you....

  • @ranganathkoneti8443
    @ranganathkoneti8443 3 роки тому +3

    Sir. My doubt is 17000 pe premium is very high and ce is low. In case market cross suddenly 17000 then ce is gone very high .so straddle is not working properly that time .then what will I do ?

    • @sundarmoorthi9303
      @sundarmoorthi9303 3 роки тому +1

      Rightly said, it also require CE side protection, what is market goes to 17500 like it did this month from 15700 to 167000!

  • @muraVid
    @muraVid 2 роки тому

    Dear Sir,
    When do you cover the short call you sold if the market turns bullish and rallies above 17000. Can you explain that part ?

  • @rameshrengaraj1846
    @rameshrengaraj1846 2 роки тому

    Nice strategy, nice speaking,
    But if you want really help others, explore all the adjustment in youtube itself, money never save our happy, and soul.
    Since you are success in market, don't sell it for money. I know you are very very Good Person in your real life.
    I don't have age to wish you, so that I am praying God for your entire life Happiness.
    Thanks for Sharing video s

  • @mudigondapavankumar
    @mudigondapavankumar Рік тому +1

    How this 17000pe of December is cheaper than September 17000pe.
    The dec month should have high price

  • @epic_4real17
    @epic_4real17 2 роки тому

    With due respect, a question.. What is the definition of good and bad girl... Does it apply with respect to guys as well?

  • @rajp9320
    @rajp9320 3 роки тому +1

    How we can buy put option for December now as it is not available in icici direct ?

  • @raghu4u
    @raghu4u 2 роки тому +1

    17000 pe September is 1152 and december pe is 1116 is that possible, December pe price should be high right compared to september's

  • @prashantkhatri5383
    @prashantkhatri5383 Рік тому

    When he says "in December" , what does it means, December month expiry OR he executed the order in month of December.?

  • @frozenlove3198
    @frozenlove3198 3 роки тому

    Sir NIFTY crossed 18000 on 11 oct itself.. you expected it to cross 18000 by December..

  • @dineshmitrarp2723
    @dineshmitrarp2723 3 роки тому +2

    How to buy December options?

  • @manipur1000
    @manipur1000 3 роки тому +1

    Sir how is it possible that premium of September is bigger than the premium of December of 17000 PE ?

  • @anilkutty5314
    @anilkutty5314 3 роки тому +14

    Strategy is fine ...but if the fund is huge around 75lks to 5crs ,this will work as a a charm..but for small investor who have 5lks to 10lks..they won't like 8000rs and waiting for 45days to 50days

    • @TharunReddy
      @TharunReddy 3 роки тому

      Excatly

    • @anilkutty5314
      @anilkutty5314 3 роки тому

      Sundar sir is making videos from past 2 to 3 yrs ,but never he said about adjustments,and he has the right ,why should he tell about his A1 game of adjustment for free...there is no free food in market ...all is money...money is king

    • @optionguide8744
      @optionguide8744 3 роки тому

      Weekly option selling is better for low budget traders....
      adjustments are risky.... Exit with our SL and reenter...

    • @its_sharan54
      @its_sharan54 3 роки тому

      Just do some Hard work and learn options buying, it's not that difficult as he explains if u have small capital. Of 5 Lakhs , If you play safe 30-100% in A month is a piece of cake if ur greed doesn't come in between. but always go with the strategy with highest probability of winning and Risk management is the key.

    • @anilkutty5314
      @anilkutty5314 3 роки тому

      I sometimes do wonder why do people sell...I saw one message the guy blocked blocked 15lks and he made 2000 profit.......where as one of my friend just blocked 2500rs and made 2200 profit...here people will say selling is consistent and profit is consistent ...they may be right ..I don't know

  • @himanshu56himanshu
    @himanshu56himanshu 3 роки тому +1

    Can someone please help me to understand why the approx margin needed is 1Lakh ?
    As selling both CE and PE cost around 2 lakhs total and buying Dec PE cost around 30k so in total we need 2.3 Lakhs of capital
    Am I missing something ?

  • @asvsenthilkumar4800
    @asvsenthilkumar4800 3 роки тому +4

    You are Great. Thanks for taking the time and explaining the strategy. Vera level sir.

  • @maheshtech8645
    @maheshtech8645 3 роки тому +4

    Thank you sir, you are really honest person. The way you explain with example really great. Keep up the good work.

  • @arunkumar1bestha32
    @arunkumar1bestha32 2 роки тому

    Sir
    Your strategies given in UA-cam may be right but Zerodha do not allow to trade OTM OPTIONS AND far away months options for hedging

  • @hkradh
    @hkradh 3 роки тому +4

    What an humble person you are sir.. Stay healthy and stay blessed 🙏

  • @sundertalreja7208
    @sundertalreja7208 3 роки тому

    why not just go and sell next month CE/PE and buy year end CE/PE. What is the benefit of writing OTM CE or PE?

  • @anshumansharma1496
    @anshumansharma1496 3 роки тому +8

    Sir, one question let's say we take a short straddle 45 days ago. So shall we keep on continuing with new straddle till December after the expiry of existing straddle, e.g, September.

    • @rajeshkannanrrk
      @rajeshkannanrrk 3 роки тому +1

      One week before expiry in September u shift the straddle to October series.

  • @TValli-zm6it
    @TValli-zm6it 2 роки тому

    God's grace big capital , apram ean sir amount vanki sollitharinga , naalu perukku nallatha panni kadavulukku seiratha nanachikanga ungalukku punniyama serum❤️🙏

  • @ravikiranhrd
    @ravikiranhrd 2 роки тому

    How is it possible... Sep 17000 PE premium is 1157 and Dec 17000 PE premium is only 1116. There is only 5 points difference?... Another point is, you have mentioned July month in the excell sheet? I didn't get the concept clearly

  • @rchander20
    @rchander20 2 роки тому

    Thank you Sir for that explanation of this OTM short straddle with a hedge in buying 2 month later put option. How do you compare this strategy with a common ATM short straddle.. What do you think are the plus and minus points involved in using both the said straddles given a situation where the markets are expected to move up.

  • @pvvivekkrish
    @pvvivekkrish Рік тому

    sir, do you trade US markets? or only india?

  • @kishorbharwani5554
    @kishorbharwani5554 3 роки тому

    We can call this PR Sundarji gift to his audience strategy.Thanku as always sir.

  • @foreverkaos
    @foreverkaos 3 роки тому

    Sir one Q. If you have bullish view why not take bullish option strategies instead of straddle for e.g. jade lizard?

  • @Akolkar2
    @Akolkar2 3 роки тому

    What about liquidity 17000pe if not in option list .how will you get buyer & how long he be continued in trade

  • @fabianfernandez6723
    @fabianfernandez6723 3 місяці тому

    The premium for the Dec 17000 put option should be much more than what is listed, due to the time value.

  • @sreenathmv6876
    @sreenathmv6876 3 роки тому +12

    Good strategy it seems. As I am new comer, I need to view another 3-4 times to understand. Thank you for sharing.

  • @himanshusarswat1848
    @himanshusarswat1848 3 роки тому +1

    Bank nifty is more volatile than nifty so any suggestions for bank nifty

  • @selvans3757
    @selvans3757 2 роки тому

    In stock market every successful traders have secret stratagy but never disclse the technique and simply saying to join their Class 😊

  • @smitk7506
    @smitk7506 3 роки тому +1

    How can the December (longer term)option be cheaper than September (short term) ?

  • @govindtulipedi3845
    @govindtulipedi3845 3 роки тому +2

    Sir, Is the CE leg(selling 17000CE) required? I do not think it serves much of any purpose. We can just do put calendar (selling 17000pe for Sep and buying it for Dec). Is my thinking correct?

    • @Raja-xq9mz
      @Raja-xq9mz 3 роки тому

      Correct.. It will reduce margin also

    • @Sanjaymishra-dh4lt
      @Sanjaymishra-dh4lt 2 роки тому

      If market moves above 17000 you will be safe if you buy the put option also at same strike price.