Monthly Income 5-10% ||Hedged Option selling||Zero adjustment profitable strategy for working people

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  • Опубліковано 16 кві 2024
  • NO ADJUSTMENT STRATEGY FOR WORKING, PART TIME TRADES, FULL TIME TRADERS - NIFTY MOST PROFITABLE REWARDING STRATEGY , MONTHLY STRATEGY FOR JOB PEOPLE
    ZERO LOSS PREMIUM OPTION SELLING STRATEGY
    HIT & LEAVE POSTIONAL STRATEGY 100% HEDGED FIXED PROFIT
    Nifty OPTION Strategy For Working People | Unlimited Profit | Zero Loss Strategy | No Loss Hedging |
    WEEKLY OPTION SELLING STARTEGY
    ZERO LOSS UNLIMITED REWARD HEDGING STARTEGY
    NO LOSS WEEKLY OPTION STRATEGY | LOW RISH HIGH REWARD
    Fully hedged
    highly profitable
    Positional optional selling strategy
    t.me/neumarkets --- Link to our Telegram channel for all updates.
    Please reach us for any questions via Telegram - @NeuMarkets360

КОМЕНТАРІ • 423

  • @sujanv958
    @sujanv958 Місяць тому +15

    excellent. I have been struggling to find something that gives 2% without adjustment. now I have something to look for.

  • @narayanprasadsharma4517
    @narayanprasadsharma4517 Місяць тому +10

    Mam, I have watched your vedio first time and very much impressed to learn a simple and risk free profitable strategy. GOD BLESS YOU.

  • @preet1159
    @preet1159 Місяць тому +4

    Excellent. .thank you for sharing your knowledge and such a easy strategy. .god bless you

  • @hemantogale5841
    @hemantogale5841 Місяць тому +5

    Mam Great Strategy. I have backtested for few months in '22 and find it profitable. thank you for this simple and safe. please upload adjustment videos as soon as possible. ✔✅

    • @neumarkets360
      @neumarkets360  Місяць тому

      Thank you. your efforts to back test shows good commitment for being successful, Keep it up.

  • @sutapas_entertainment
    @sutapas_entertainment Місяць тому

    You inspired me so much with this excellent and simple strategy. 🎉🎉🎉Please bring more easy profitable option stratwgies. We love simple strategies. ❤❤❤

    • @neumarkets360
      @neumarkets360  Місяць тому

      thank you. please share the video with your friends that will motivate us.

  • @pretikar4225
    @pretikar4225 Місяць тому

    you have simplified it so well.

  • @marshaltopno5712
    @marshaltopno5712 Місяць тому

    Really , very powerful and very simple strategy.

    • @neumarkets360
      @neumarkets360  Місяць тому

      Thank you so much, have you watched weekly strategy video as well?

  • @dprakashchand9479
    @dprakashchand9479 Місяць тому +12

    So.super.nice excellent. Aap.jio.hajaro.saal. Jai.sri.karishna. radhe. radhe..mam.

  • @virenshah4997
    @virenshah4997 Місяць тому +5

    Good observations

    • @neumarkets360
      @neumarkets360  Місяць тому

      Thank you

    • @virenshah4997
      @virenshah4997 Місяць тому

      @@tryabhijit2008 No strategy will work than, it's mindset that needs to be developed in trading to get profitable.

  • @market24plus
    @market24plus Місяць тому +2

    Good hedging tricks...👍🏻

  • @ChaliyeJanteHai
    @ChaliyeJanteHai Місяць тому +1

    Immressed thank you

  • @ashlevy
    @ashlevy Місяць тому +4

    Hello ma'am, nice explanation and a good strategy as well. But for the gap up and gap down part, i didn't understand very well, do we have to always buy the 5rs option or buy at the end of the day and close at the morning, please reply mam, I'll be very thankful to you!!

    • @neumarkets360
      @neumarkets360  Місяць тому +5

      Depending on your capital you chose how much safety you want, you can buy 1-5 premium OTM option , if you understand price action well then in rangebound market you don't need to buy but if you are beginner then better to buy it. Personally I always buy on put side and on call side I do it on need basis. if you have very big capital then brokerage will be insignificant in such case you can buy overnight and remove it in the morning. Plan your hedging based on your capital and risk and reward appetite.

  • @gulabchanddugar5417
    @gulabchanddugar5417 Місяць тому +4

    Very nice

  • @shekharyadav6524
    @shekharyadav6524 Місяць тому +4

    Excellent strategy ma’am, specially what you have advised for gap up and gap down. One thing I want to ask is how to trail profit?

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      SL trailing can be done between 30% and 70% of max profit in first 2 weeks. In last 2 weeks SL trailing should be at least at 70% as gamma factor increases. Once the position is in good profits, you can monitor manually or you can automate via algos.

    • @dineshalagh9722
      @dineshalagh9722 Місяць тому

      Respected mam I want yo know do we have to exit weekly hedges every morning and again take them at end of day

  • @AkashBalu-mn7rh
    @AkashBalu-mn7rh Місяць тому +6

    Superb, bahut sahi strategy hai...pls show one example when breakeven touch, how to take new trade.

  • @rishigoyal8141
    @rishigoyal8141 Місяць тому +2

    Good strategy

  • @murari640
    @murari640 Місяць тому +3

    Very very nice strategy I have back tested last 15 months
    Only July 2023 is loss 2k and if do some adjustments showing huge profit also👍👍👍😁

    • @neumarkets360
      @neumarkets360  Місяць тому

      Very good that you tested. thank you for your appreciation 🙏. from your adjustment point you look experienced. do you do active selling

    • @amansennju2375
      @amansennju2375 Місяць тому

      Can you please share stats, what's ROI

    • @rushikeshbhutada
      @rushikeshbhutada Місяць тому

      What kind of adjustment can be done

    • @rushikeshbhutada
      @rushikeshbhutada Місяць тому

      ​@@neumarkets360plz make adjustment Video

    • @neumarkets360
      @neumarkets360  Місяць тому

      i do with adjustments and i get 6-12%, with simple adjusmtnet is 3-5%, without adjustment and with defined sl it is 2-3%

  • @vinayakbilaskar4168
    @vinayakbilaskar4168 Місяць тому +2

    Very nice mam

  • @suryanarayana9356
    @suryanarayana9356 Місяць тому

    Nice video and request you how to adjust weekly and trailing... please explain

    • @neumarkets360
      @neumarkets360  Місяць тому

      aapke capital bada hai ya chota? agar thoda jada capital hai to adjustement better ho jati hai and return bhi, adjustment capital pe depend karti hai

  • @davidsiebelanalytics
    @davidsiebelanalytics 21 день тому +1

    Good One mam.Thanks

    • @neumarkets360
      @neumarkets360  21 день тому

      Most welcome 😊. have you backtested ?

    • @davidsiebelanalytics
      @davidsiebelanalytics 20 днів тому

      @@neumarkets360 I have backtested but will try paper trading in the coming weeks before trying out in real market.

    • @davidsiebelanalytics
      @davidsiebelanalytics 20 днів тому +1

      @@neumarkets360 Yes.

  • @HarshaThirthappa-06
    @HarshaThirthappa-06 Місяць тому

    Seems like very good Strategy mam..Appreciate your efforts, but adjustment part can we get more elaborate for more clear on this strategy. will back test it & sure to implement in the trading setup. Can we get same strategy setup BN to if you have created pls share with us. It helps lot to community.

    • @neumarkets360
      @neumarkets360  Місяць тому

      thanks, please share with your friends if you like it.
      for adjustment have you seen video "Adjustment for Monthly Income Option Selling 5-10%" ??
      Banknifty one we will release later

  • @murugesankkmkrishnan6087
    @murugesankkmkrishnan6087 Місяць тому +3

    Please update adjustment part madam if breakeven touch

    • @neumarkets360
      @neumarkets360  Місяць тому

      Will upload video on advanced adjustments, there are multiple ways depending on capital. for beginners they can exit and recreate position at current levels if premium ratio is good otherwise take small SL and wait for next entry.

  • @sagarsony6256
    @sagarsony6256 Місяць тому +1

    Wow looks so easy

    • @neumarkets360
      @neumarkets360  Місяць тому

      Indeed it takes less efforts. thanks

  • @shortcuts6066
    @shortcuts6066 8 днів тому

    Aapne 5rs wala call put buy kyu nhi kiya?

  • @narayanmangaonkar825
    @narayanmangaonkar825 Місяць тому

    Mam, I have an account with zerodha, which algo software is best with zerodha? Streak is tyed with zerodha but can we use it for trailing SL?

    • @neumarkets360
      @neumarkets360  Місяць тому

      I have not tried streak so cant suggest, we use python

  • @SumitKumar-gh3fp
    @SumitKumar-gh3fp Місяць тому

    Mam pls make a video on advance adjustment of this stratergy

  • @depradip
    @depradip День тому

    Your strategy is really good. But one live market demo would be very much helpful for people like us. From one Dmat account, how the trade is being initiated and trackin with the Opstra or Sensibul, please show us. It would be very much beneficial for us. My Regards.

    • @neumarkets360
      @neumarkets360  День тому

      thank you. i manually update on stockmock as adjustments are very less and usually trade gets closed within 2 weeks. do you use sensibull?

  • @gajendrachauhan7609
    @gajendrachauhan7609 Місяць тому

    This is nice strategy. But please select the month, where we need to do the adjustments.

    • @neumarkets360
      @neumarkets360  Місяць тому

      Thanks, have you see the next video that we have uploaded "Adjustment for Monthly Income Option Selling 5-10%" ??

  • @DYCSOENGG
    @DYCSOENGG Місяць тому

    Nice analysis,pl advise how to deploy trailing sl

    • @neumarkets360
      @neumarkets360  Місяць тому

      SL trailing can be done between 30% and 70% of max profit, depends on what targets you set for average return. perform back test and see what suits your mindset. what is important is that in that last 2 weeks SL training should be atleast at 70% as gamma factor increases. Once the position is in good profits, you can monitor manually to save your profits or you can automate via algos.

  • @naanib7686
    @naanib7686 24 дні тому

    5 rs premium ka put and call position dalte hai na tab hi le sakte hai kya? i mean total 6 legs

    • @neumarkets360
      @neumarkets360  24 дні тому

      haan, 1-5 rs ka le sakte hai for extra safety

  • @vishalkaushal7934
    @vishalkaushal7934 Місяць тому +3

    Crisp and clear 👌

  • @anilbhagat762
    @anilbhagat762 Місяць тому +1

    Hi Mam, I didn't understand that part where you explained by option of Rs.5 of weekly expiry of current month. We need to buy CE or PE or both. Also advice how much capital will be required for this strategy, Thanks and regards.

    • @neumarkets360
      @neumarkets360  Місяць тому

      Capital required is 1 lac for 1 lot.
      regarding extra hedge, based on risk appetite one can buy between 1rs to 5rs OTM option. Usually downside moves are more violent so PE OTM hedge should be always there, CE can be taken and removed on need basis

    • @anilbhagat762
      @anilbhagat762 Місяць тому

      @@neumarkets360 Thank you so much for your reply. Can you please share your contact number in case need to contact you for more details. I have joined your Telegram channel but didn't find any contact details.

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      you can message me on telegram.

  • @bhaveshkundariya2444
    @bhaveshkundariya2444 Місяць тому

    Please share adjustments of brekeven breaks ...

    • @neumarkets360
      @neumarkets360  Місяць тому

      Will upload video on advanced adjustments, there are multiple ways depending on capital. for beginners they can exit and recreate position at current levels if premium ratio is good otherwise take small SL and wait for next entry.

  • @mahadeermohamed6405
    @mahadeermohamed6405 Місяць тому

    If we get the profit in 14 days then next 16 days need to wait for next trade?

    • @neumarkets360
      @neumarkets360  Місяць тому

      There is cycle for option premiums, they increase and decrease, once you get quick profit then book it and wait for premium spike for re-entry, re-enter only if you know how to identify premium spike otherwise wait for next month

  • @lawrencesequeira5374
    @lawrencesequeira5374 23 дні тому

    Thanks for the vdo. Seems promising. I have one question.... Instead of monthly expiry can do the same for weekly? Current week atm short -300 PE and +300 CE and long the next week atm -600 PE and +600 CE ? In such cases we can buy the 5 rs PE and CE too and be more hedged

    • @neumarkets360
      @neumarkets360  23 дні тому

      the framework can be adapted, premium values and distance may change as in weekly gamma increases. have you backtested it in weekly? with advanced adjustments it works well in weekly just that number adjustments increase

  • @badalspidey
    @badalspidey Місяць тому

    I could not understand the trailing part.. And it is said that there is no screen time.. But we have to continuously monitor the profit to het above 4%..how to do that without continuously checking..

    • @neumarkets360
      @neumarkets360  Місяць тому

      for that you will have to use algo software, do you use any algo?

  • @pulliphysicalfitness2698
    @pulliphysicalfitness2698 6 днів тому

    Ma'am ik sawal hai isme vix ka koi kaam hai ya nhi or market ik side movement de to bhi ye kaam krti hai kya ya

    • @neumarkets360
      @neumarkets360  6 днів тому

      kisi side bhi jaye but range ke bahar nahi, agar waisa ho to adjust karlo

  • @rushikeshbhutada
    @rushikeshbhutada Місяць тому

    Is there any extra thing to look for i think liquidity issue ho sakta hai in

    • @neumarkets360
      @neumarkets360  Місяць тому

      round strikes of 500 per trade karo and hourly candle closing pe to nahi ayega

  • @bharatjani1623
    @bharatjani1623 19 днів тому

    strike prices selected for buying are not liquid. then how it works.

    • @neumarkets360
      @neumarkets360  19 днів тому

      did you try buying it? which broker do you use?

  • @dineshalagh9722
    @dineshalagh9722 Місяць тому

    Respected mam I want to know do we have to exit weekly hedges every morning and again purchase it at end of day

    • @neumarkets360
      @neumarkets360  Місяць тому

      you can do that if you have big capital and brokerage will not matter. otherwise buy 1-5 rs depending on overall premium and keep it. you have big or small capital? based on that you can decide on hedging

  • @prakash2564
    @prakash2564 Місяць тому

    Please share trending month adjustment and over all SL.

    • @neumarkets360
      @neumarkets360  Місяць тому

      For beginners , simply exit and create new position at current levels if premiums are good. SL should be in the range of 3-4%. for advanced traders there are multiple adjustments like shifting winning leg or taking extra credit by selling current week etc.

  • @pramodmallick5746
    @pramodmallick5746 Місяць тому

    you are saying trailing.. the profit, but you did not show the demo. can you cover to trail the profit till the end of trade/month.

  • @TG-xe9vt
    @TG-xe9vt 28 днів тому

    Thanks for Sharing strategy,i have question will broker allows to 600 points away to take long position on next month ?

  • @ankitnoulkha9359
    @ankitnoulkha9359 День тому

    4 aur 5 may ka bhi back test share kare sa

  • @kpkingh
    @kpkingh Місяць тому

    Very nice strategy. One question if I deploy hedge only with weekly option what will be the result plz explain

    • @neumarkets360
      @neumarkets360  Місяць тому

      have you back tested it? or just asking for knowledge

    • @kpkingh
      @kpkingh Місяць тому

      Just asking for knowledge

    • @neumarkets360
      @neumarkets360  Місяць тому

      if your capital is big then brokerage will not matter in such case you can buy with weekly before close of day and remove in the morning that will work well however i don't do that as i like to have minimum adjustment in monthly

  • @abhishek3pathi
    @abhishek3pathi Місяць тому

    Kindly do 2 yrs backtesting and post results.

    • @neumarkets360
      @neumarkets360  Місяць тому +2

      4-5% is average return if 3% SL is taken and full profit is taken that goes upto 11% in some months. with adjustments average return is 5-10%.

  • @niketpande6283
    @niketpande6283 Місяць тому

    Please suggest the adjustment also

    • @neumarkets360
      @neumarkets360  Місяць тому

      will post a video on that, did you try backtesting?

  • @sandeep-jp6ib
    @sandeep-jp6ib 19 днів тому

    Subscribed

    • @neumarkets360
      @neumarkets360  19 днів тому

      great, did you join telegram channel as well for latest updates?

  • @sumandas7704
    @sumandas7704 Місяць тому

    Can you do show a back testing for this for Nov and Dec 2023. Because during Jan - Mar market has been fairly muted.

    • @neumarkets360
      @neumarkets360  Місяць тому

      will post a video. did you try backtest?

  • @kisor1968
    @kisor1968 6 днів тому

    Its better to buy weekly hedge each and everyday just before closing and square off next day early morning, to my opinion.

    • @neumarkets360
      @neumarkets360  5 днів тому +1

      for big capital that should be approach as brokerage will not matter. hedging depends on capital , risk appetite and actual market risk at given point of time isn't it ?

  • @abhishekrai9248
    @abhishekrai9248 Місяць тому +3

    Mam tab kya karana hai jab ye break even pe aa ga
    Eg if break even comes on 9 aug then what we do and where we take trade

    • @neumarkets360
      @neumarkets360  Місяць тому

      Will upload video on advanced adjustments, there are multiple ways depending on capital. for beginners they can exit and recreate a new position at current levels if premium ratio is good(same rules) otherwise take small SL and wait for next entry.

    • @saswatkumar2779
      @saswatkumar2779 13 днів тому

      Mam brk even ko jb touch krta h toh kitna loss mtm mai show krta h approx

  • @arunakumarswain1641
    @arunakumarswain1641 21 день тому

    How can do trailing on every position. Please explain detail mam.

  • @s.r.1610
    @s.r.1610 18 днів тому

    Mam can we apply this strategy to other indexes like bank or finnifty.. if yes then how to do it..

    • @neumarkets360
      @neumarkets360  18 днів тому

      yes it can be , there is mathematics behind it. which indexes are you referring to?

  • @rajashekhar6586
    @rajashekhar6586 2 дні тому

    Can u suggest the same for banknifty please, i mean what should the spacing be

    • @neumarkets360
      @neumarkets360  День тому

      it can be done , don't you think there will be liquidity issues in banknifty?

  • @soundrapandian3379
    @soundrapandian3379 21 день тому

    Mam, thanks. When to buy the insurance? Everyday ?

    • @neumarkets360
      @neumarkets360  21 день тому

      depends on capital and risk appetite. you have small or big capital?

  • @vibhavmisra009
    @vibhavmisra009 29 днів тому

    Maam need adjustments video soon before may end and we have to exit and create fresh on reaching breakeven?

    • @neumarkets360
      @neumarkets360  28 днів тому +1

      Have you not see already posted video on adjustment? "adjustment for monthly selling"

  • @user-ki3mn1nr6u
    @user-ki3mn1nr6u Місяць тому

    For large Capital like 1-2 crore...wld you recommend this strategy ?....how to handle fall in Vix calendar buy legs will be in loss..?

    • @neumarkets360
      @neumarkets360  Місяць тому

      Are you deploying any strategy already with 1-2cr?
      with bigger capital this strategy can be managed better in basic form and with advanced adjustments it will give handsome returns. regarding premium of calendar there is trick, try to find out yourself so that you can understand framework better. Otherwise i will let you know.

    • @user-ki3mn1nr6u
      @user-ki3mn1nr6u Місяць тому

      @@neumarkets360 i heard shifting the trade a few times and even after that if mkt crosses the breakeven taking a predtermined SL is the Professional away......doing adjustments using extra funds is like getting into a quick sand ..some day or the other it will get the trader...

    • @neumarkets360
      @neumarkets360  Місяць тому

      what you heard is mixed things, what is important is pre determined SL that is must, so if adjustments are done in such a way that you get bigger breakeven then chances increase, in advance adjustments one does not need to shift , shifting is required when there is no extra capital.
      do you know advanced adjustments?

  • @shivasanthosh31
    @shivasanthosh31 11 днів тому

    Future hedging video was great...Could you put an video about hedging on option...

    • @neumarkets360
      @neumarkets360  11 днів тому

      do you have experience of trading options?

    • @shivasanthosh31
      @shivasanthosh31 10 днів тому

      Yes, I have started but premium decay will happen right...

    • @shivasanthosh31
      @shivasanthosh31 10 днів тому

      Yes, started now but premium decay happens with respect to time right...so, you have any advise sir...

    • @neumarkets360
      @neumarkets360  8 днів тому

      premium decay can be compensated buy shorting a low premium option

  • @AnandKumar-qi9jk
    @AnandKumar-qi9jk Місяць тому

    Strategy bhot badhiya hia. Magar ye regular stock brokers mein itni durke ke strike price ke trades banae dega kya. Please advise.

    • @neumarkets360
      @neumarkets360  Місяць тому

      generally sab mein allow karete hai , nahi to aap broker ko bol ke strike active kara sakte hai. aap kaun sa broker use karte hai?

    • @AnandKumar-qi9jk
      @AnandKumar-qi9jk Місяць тому

      @@neumarkets360 Zerodha.

    • @neumarkets360
      @neumarkets360  Місяць тому

      door ke strke ke liye zerodha min buy karne dega par pahle apko sell karna padega, agar aapko janna hai hum kaun sa broker use karte hai to telegram pe contact kare

  • @user-fi9jr2tu9f
    @user-fi9jr2tu9f 21 день тому

    Nice video
    Calender spred pe video banaiye madum

    • @neumarkets360
      @neumarkets360  21 день тому

      basic calendar spread pe? ya strategy?

  • @ankitnoulkha9359
    @ankitnoulkha9359 День тому

    Adjust bhi bataye

  • @karanheda6450
    @karanheda6450 Місяць тому

    Sell strike and buy strikes gap is 300 pts, which means 15k loss if we consider 1 lot of 50.. margin for 1 lot is 1 lacs. So max loss is 15% . Only thing is buy leg is next month which may reduce loss % but still loss % is very high… madam pls share ur views

    • @neumarkets360
      @neumarkets360  Місяць тому

      are you aware that premium does not become 0 before expiry and ITM does not become full delta 1 before expiry?
      if yes then i will explain otherwise you will not understand the concept, in that case you should back test for 2-3 years to gain confidence. another thing you have to take current month hedge as well so you will buy 2 and sell 1 this will help in gap up and gap down

  • @vikkypr
    @vikkypr Місяць тому

    Thanks Mam the superb strategy. Can you please check August 23 month and advice us on the adjustments?
    Please.

    • @neumarkets360
      @neumarkets360  Місяць тому

      what happend in your back test?

    • @vikkypr
      @vikkypr Місяць тому

      Breakeven got breached on 14th Aug with -4.5% loss. Are there any adjustments which we need to do when breakeven gets breached?

    • @neumarkets360
      @neumarkets360  Місяць тому

      if you have good price action knowledge like range breakout then in such case you can do adjustment of position shifting before breakeven breakout , like middle of upper profit and breakeven break, understood?

    • @vikkypr
      @vikkypr Місяць тому

      ​@@neumarkets360 Sure Mam thanks for your guidance. Means alot. Thanks.

  • @Jyotishman2010
    @Jyotishman2010 Місяць тому

    What about breakeven breaching

    • @neumarkets360
      @neumarkets360  Місяць тому

      You may exit and recreate position again at current levels

  • @junedahmed186
    @junedahmed186 Місяць тому

    gap up and gap down could happen on any day so should we buy Rs. 5 premium daily? can you also show greeks for this strategy and under what scenarios this strategy gets failed.

    • @neumarkets360
      @neumarkets360  Місяць тому

      Good questions, hedging depends on capital. are you beginner or experienced ? your capital is small or big?

    • @sandeep-jp6ib
      @sandeep-jp6ib 19 днів тому

      For big capital how to adjust for this daily gapup and gapdown? pls share your views on this

  • @asdeodikar
    @asdeodikar 11 днів тому

    By trailing, do you mean exiting all the positions?

    • @neumarkets360
      @neumarkets360  11 днів тому

      exiting all positions once profit is dropped to certain level, you need to keep on changing drop level as an when profit increases. understood?

  • @modiray9377
    @modiray9377 Місяць тому

    Buying in next month is not liquid..so how to buy?

    • @neumarkets360
      @neumarkets360  Місяць тому

      have you checked rounded strikes of 100?

  • @manishshah1009
    @manishshah1009 28 днів тому

    Can U show POP and RR ? it also seems to be very low. Please clARIFY

    • @neumarkets360
      @neumarkets360  28 днів тому

      this is calendar spread, its indication, do backtesting or forward testing to understand, T line and pop are indicative , things change as IV and vix changes

    • @pinakinshah7923
      @pinakinshah7923 27 днів тому

      OK. THANKS

  • @sameerjadhwar623
    @sameerjadhwar623 4 дні тому

    How much profit does the weekly option buying for 5rs each on both sides take away?

  • @free.science.classes
    @free.science.classes 17 днів тому

    Hi,, while backtesting your strategy, i discovered one new fantastic strategy too.. Want to share it with u

  • @venutube5791
    @venutube5791 17 днів тому

    Why you have not considered buying Rs5 option in back testing?you said every week we should buy. But gap up/ down could happen within week.

    • @neumarkets360
      @neumarkets360  16 днів тому

      did you understand that bought options has to be removed? it should not be, always hedge should be there from day1

  • @explorewithpumba
    @explorewithpumba Місяць тому

    Maam Covid sey yeah strategy samjha rahey hai sir merey. Sir matlab dost hi hai. Lekin kuch sawal ab bhi
    Adjustment kya karni padegi
    Selling ka part hai to bracket order banegi
    Bracket order mei Trailing stoploss kaisey lagatey hai.
    Puri order sey hi exit marna padega na ??

    • @neumarkets360
      @neumarkets360  Місяць тому

      yes full order exit. koi algo use karte ho?

    • @explorewithpumba
      @explorewithpumba Місяць тому

      @@neumarkets360 no mam, basket trades leta hu

    • @neumarkets360
      @neumarkets360  Місяць тому

      algo ist better rahta hai, basket se bhi pura exit maar sakete ho

    • @nishchintkumar2744
      @nishchintkumar2744 Місяць тому

      ​@@neumarkets360any algo available for positional trading with automate adjustment

    • @neumarkets360
      @neumarkets360  Місяць тому

      yes i have but have not commercialised it yet.

  • @SumitKumar-gh3fp
    @SumitKumar-gh3fp Місяць тому

    Hi mam i wanted to ask one doubt its hedged by next month options then why unlimited loss is being shown in simulator?

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      calendar calculation is not always accurate in all tool, you are selling 1 and buying 2 hedges so thing about it how it can be unlimited.

    • @SumitKumar-gh3fp
      @SumitKumar-gh3fp Місяць тому

      @@neumarkets360 yeah I was thinking also the same

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      right also when there is big move then due to voltality increase premium of next month increases more than current month.

    • @SumitKumar-gh3fp
      @SumitKumar-gh3fp Місяць тому

      @@neumarkets360 thanks mam

  • @user-fn3vh5rk3k
    @user-fn3vh5rk3k Місяць тому

    Gud Guyz

  • @MohanMohan-zg9mr
    @MohanMohan-zg9mr Місяць тому

    Which application are u using

  • @bhogendranathnath5553
    @bhogendranathnath5553 Місяць тому

    Thank you for a nice strayegy. kindly inform if you have algo for this.

    • @neumarkets360
      @neumarkets360  Місяць тому

      yes I trade with algo

    • @bhogendranathnath5553
      @bhogendranathnath5553 Місяць тому

      @@neumarkets360 Madam I am interested in using algo developed by you. What charges I need to pay for getting code? I am interested in using your algo. I like your strategies very much

    • @bhogendranathnath5553
      @bhogendranathnath5553 Місяць тому

      @@neumarkets360 madam, new expiry coming so I want to do for new expiry. can You respond/. Also I requested for telegram link in my previous message. kindly respond

    • @neumarkets360
      @neumarkets360  Місяць тому

      @neumarkets360 hi telegram link hai , appko nahi mila

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      thank you for liking it, will let you know when we will release chargeable algo, our main focus is on providing free stuff to people as we already make good money from market.

  • @bhagwatinandansharma2363
    @bhagwatinandansharma2363 17 днів тому

    Didi mene kabhi sell nahi kiya dar lagta h isame liquvidity ki problem to nahi hogi

    • @neumarkets360
      @neumarkets360  16 днів тому

      pahle learn karo fir karna wo bhi hedge aur SL ke saath. bina practise kiye mat karna. liquidity problem nifty mein maine nahi dekha

  • @atulshah7995
    @atulshah7995 24 дні тому

    Nice stretegy but want to know how to trail after 70%

  • @anilbhagat762
    @anilbhagat762 Місяць тому

    7:22

  • @benzyasir
    @benzyasir 6 днів тому

    I have deployef for June. How will election results affect this strategy?

    • @neumarkets360
      @neumarkets360  6 днів тому +1

      don't put for election , put it after vix cooling

  • @jigneshsoni9263
    @jigneshsoni9263 10 днів тому

    I am based in US. I would like to try this on SPX Index. How did you decide on the 300 and 600 points. Can you provide details based on deltas instead? How can I reach you? Would like to discuss more on this and other strategies.

    • @neumarkets360
      @neumarkets360  10 днів тому

      you can join our telegram channel and DM as well. details of telegram are in description. calculations are based on index voltality and relative premium decay of far month options, you need to analyse and configure as per your market

    • @jigneshsoni9263
      @jigneshsoni9263 10 днів тому

      @@neumarkets360 Thanks for your quick reply. I appreciate it. I just joined your telegram. I don't see any options for DM. I am sorry I am new to Telegram.

    • @neumarkets360
      @neumarkets360  8 днів тому

      Have you found ?

  • @navnathkarande1776
    @navnathkarande1776 28 днів тому

    5 rs ka ce and pe kaab buy karna hai aur close kab karna hai

    • @neumarkets360
      @neumarkets360  28 днів тому

      not 5, 1 to 5 depending on your capital, close karna hai jab profit mil jaye , agar badi cpaital hai to daily end of the day mein buy karke , agli morning meing close

    • @ashwinikarande4254
      @ashwinikarande4254 27 днів тому

      @@neumarkets360 tx very much mam

  • @rahulk555
    @rahulk555 12 днів тому

    but if we buy 5rs premium as insurance for 5 lots for both CE and PE, It will take almost approx 2500rs per week which is a big amount.. kindly suggest to tackle this.

    • @neumarkets360
      @neumarkets360  12 днів тому

      that is framework, you can use hedge as per capital and risk like buy between 1 to5 , or buy just put side or if capital is big and brokerage is less then buy only for overnight, also profit comes usually within 2 weeks so don't think hedge from monthly perspective, understood?

  • @bharatjani1623
    @bharatjani1623 19 днів тому

    weekly hedging buy karke simulate kare pl.

  • @bhikamchandsharma4540
    @bhikamchandsharma4540 Місяць тому

    अगर प्रॉफिट 5,7 दिन में ही बुक हो जाता है तो क्या हम नया ट्रेड बना सकते हैं

    • @neumarkets360
      @neumarkets360  Місяць тому

      अगर जदी प्रॉफिट ए जाए तो इसका मतलब मार्केट मूव होने वाला है।150-200 पॉइंट मूव होने के बाद फिर पोजीशन बन सकती है

  • @abhishekjoshi2823
    @abhishekjoshi2823 24 дні тому

    How to deal with liquidity in the next months options for 600 points away strike prices (buying hedges).. did you face such situations.. pls guide

    • @neumarkets360
      @neumarkets360  23 дні тому

      I have not faced issue. which broker do you use?

    • @abhishekjoshi2823
      @abhishekjoshi2823 19 днів тому

      @@neumarkets360 Upstox... but in general there will be liquidity crunch for next months options..

    • @neumarkets360
      @neumarkets360  16 днів тому

      you can ping me on telegram for better suggestion

  • @njpany1884
    @njpany1884 10 днів тому

    क्या next month का ऑप्शन में लिक्विडिटी मिलती है..??

  • @bharatjani1623
    @bharatjani1623 21 день тому

    Pl show may and july 23 back testing.

  • @sandeep-jp6ib
    @sandeep-jp6ib 19 днів тому

    Good strategy, but curious why you shared for free 😀

    • @neumarkets360
      @neumarkets360  19 днів тому

      Why it should not be shared for free?

  • @debbadnaveen
    @debbadnaveen 18 днів тому

    Mam - Why are long/buy positions taken in next month expiry instead of same month expiry.. i see premiums are expensive in next month and both ways returns are almost same

    • @neumarkets360
      @neumarkets360  18 днів тому

      that will become iron condor isn't it?

    • @debbadnaveen
      @debbadnaveen 18 днів тому

      Yes, as a beginner, i want to know the advantages of taking next month expiry

    • @neumarkets360
      @neumarkets360  16 днів тому

      premium decay is slow unless voltality crush is expected. understood?

  • @anwarmahedavi1233
    @anwarmahedavi1233 Місяць тому

    What to do when market moves sharply either up or down & remain one-sided & breaches break even? reply

    • @neumarkets360
      @neumarkets360  Місяць тому

      exit and create fresh positions at current level. keep repeating till your SL limit is not hit. if you are aware of any news based move then just wait for 1-2 days to cool down then re-enter. Dont enter if SL is hit.

  • @manishshah1009
    @manishshah1009 28 днів тому

    mam i see POP very low. Right ?

  • @devendrajoshi7031
    @devendrajoshi7031 Місяць тому

    Mam can u share adjustments

    • @neumarkets360
      @neumarkets360  Місяць тому

      please watch the adjustment example video "Adjustment for Monthly Income Option Selling 5-10%"

  • @vaibhavkedia-fy7cu
    @vaibhavkedia-fy7cu Місяць тому

    5 5 rs hedge per week for 5 lots will be arnd 2500 rs debit per week…almost 10k for full expiry month … so if we trail from 15k(4%) the actual profit will be 5k -7k only …correct me if I am wrong.

    • @neumarkets360
      @neumarkets360  Місяць тому +1

      Normally strategy gives profit within few weeks so extra hedges are not required for full month and 4-5% is not max, if you use adjustments then 10-11% can be achieved.
      One can go for 1-2 rs hedge as well. Balance between reward and safety is personal choice. For big deployment people prefer more safety than reward.
      Main hedge is the next month buy, in case of big move next month option will expand more than current month due to vega increase. I personally take only downside extra hedge, for upside i take it only in cases of events or when big move is expected.

    • @vaibhavkedia-fy7cu
      @vaibhavkedia-fy7cu Місяць тому

      Ok sir/madam understood. If you can please assist with some adjustment tactics will definitely backtest and see how it performs. Thanks

    • @neumarkets360
      @neumarkets360  Місяць тому

      advanced adjustment requires extra capital however profit increases to 5-10% on capital deployed but it can be done by experienced people

  • @neharastogi5791
    @neharastogi5791 13 днів тому

    Please tell more about how to trail profit

    • @neumarkets360
      @neumarkets360  12 днів тому

      do you use algo?

    • @neharastogi5791
      @neharastogi5791 12 днів тому

      @@neumarkets360 no. I am beginner

    • @neumarkets360
      @neumarkets360  8 днів тому

      you can use algo or keep checking profit if it falls below certain point then exit, keep on increasing the exit point as profit increases

  • @sudhirdas7013
    @sudhirdas7013 Місяць тому

    Next month liquidity problem

    • @neumarkets360
      @neumarkets360  Місяць тому

      are you guessing or you have traded and experienced it?
      do you know big players take positions in next months and far months also

  • @piyushbhesaniya5677
    @piyushbhesaniya5677 Місяць тому

    madam trail kese kare ? stop loss kese trail kare is stratgy me?

  • @sanjaykhosla7752
    @sanjaykhosla7752 Місяць тому +1

    Nice to learning

  • @dineshrao6627
    @dineshrao6627 Місяць тому

    strik price not visible

  • @KamalP_12
    @KamalP_12 Місяць тому

    Hello, Seems it's not worked for Nov & Dec 2023. SL Hit. Otherwise its good one, Thank you