All Queries Answered || Lifetime Continuous Return || Advance Option Trading Strategy || Anuj Gaur

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  • Опубліковано 8 лют 2025
  • IBBM India has come up with a doubt clearing video which attempts to address all the queries regarding our latest upload. Please watch the video till end to get more clarity.
    Advance Option Trading Strategy: • Lifetime Continuous Re...
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КОМЕНТАРІ • 272

  • @rajendrasharma4824
    @rajendrasharma4824 2 роки тому

    Sir v v thank you 🙏

  • @swingtrades4241
    @swingtrades4241 Рік тому

    Sir nifty ka bhi video banao for same strategy

  • @surajsingh9377
    @surajsingh9377 3 роки тому

    Awesome

  • @SunilSharma-ok4go
    @SunilSharma-ok4go 4 місяці тому

    Thank you so much for this beautiful strategy. Just started my 3rd month in it and providing consistent profit despite of crazy volatility 🙏🏻🙏🏻🙏🏻

  • @LearnandExplorewithSalim
    @LearnandExplorewithSalim 2 роки тому

    I think this strategy eill better fit on nifty..bcz nifty is less volatile

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      It is on on both index

  • @dineshgoyal390
    @dineshgoyal390 Рік тому

    Sir
    As told in last week of current , we need to sell next month straddle , then for hedging for next month expiry same strike to be use and change as per straddle sold for next mont

  • @nikhiltitre7980
    @nikhiltitre7980 3 роки тому +4

    In your example 35500 pey call put sell kiye and 34000 pe and 37000 Ce headge buy kiye but same month mey market up side 37500 aaya or down side 33400 aaya tau headging ka kya karna

    • @nehagaidhane4145
      @nehagaidhane4145 3 роки тому

      Please explain

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      keep the hedging till automatic expire

    • @shivakumarkothi3330
      @shivakumarkothi3330 3 роки тому

      @@IBBMIndia sir in that case we can easily lose 2000 points, as the hedge is at 34000. Once the market reached 37500, we sold both CE and PE and collected around 1000 points and in the initial move -200 points lost after shifting and in the fall from 37500 till 34000 we lose 3500 points. It is like 1000 collected -200 and -3500 points. +1000-200-3500= 2700 points loss, please explain how to overcome such sitautions..

  • @mahesh1319
    @mahesh1319 3 роки тому

    Very encouraging

  • @shailesh3557
    @shailesh3557 3 роки тому +1

    Sir, What if ATM goes beyond either of the hedges? Kindly respond. Thanks

  • @hemantgroup7152
    @hemantgroup7152 5 місяців тому

    Do you have any offline work shop. Please send details if you have any plans in pipeline

    • @IBBMIndia
      @IBBMIndia  5 місяців тому

      Offline training and workshop in Noida, contact 9891145801

  • @fifaronaldo7322
    @fifaronaldo7322 3 роки тому

    Thanks super explaination

  • @vibhavmisra009
    @vibhavmisra009 3 роки тому +1

    its all about delta management

  • @mhnkmrm
    @mhnkmrm 2 роки тому

    sir at what profit we should come out of the strategy or should wait till the expiry.

  • @manishbansal4408
    @manishbansal4408 3 роки тому

    Ty u sir osum strategy

  • @Itsamitkban
    @Itsamitkban 3 роки тому

    Superb explaination

  • @umeshyadav-rg7zb
    @umeshyadav-rg7zb 2 роки тому

    When we get combined premium around 1000 then also shifting to be done on 1000 points move?

  • @LearnandExplorewithSalim
    @LearnandExplorewithSalim 2 роки тому

    This strategy is aplicable on nifty?..plz make a video

  • @faisalp979
    @faisalp979 3 роки тому

    Aaj galla aaya sir. Isi 🤗strategy par🤑. I am loving it

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Keep learning & earning! All the best

  • @ZenithLearning
    @ZenithLearning 3 роки тому +1

    Sir unable to buy hedge positions 1500 points away in Zerodha. What should I do...please suggest 🤔

    • @SP_Creatives
      @SP_Creatives 3 роки тому +1

      In this case change ur broking house

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      change broking

  • @thandihawa
    @thandihawa 2 роки тому

    Thanks a lot
    Your strategies r logical
    One needs to be very disciplined and is habitual of doing things in systematic manner

  • @nikhilranjanbiswaseureka
    @nikhilranjanbiswaseureka 3 роки тому +1

    Let us have a group in whats up
    Who will be doing this strategies for sharing our experiences, problems, success. Please someone take the initiative.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      Keep learning & practicing.

  • @bithindrakundu3182
    @bithindrakundu3182 Рік тому

    How much percentage Shall I expect if I deploy this for one year

  • @riddhisiddhiearnings806
    @riddhisiddhiearnings806 3 роки тому +1

    Anyone from viewer of this channel have opstra paid membership? , Please check through option simulator how this strategy performed in last few years, data is available from 2019 of every option.
    Or if you have no time then give me login credentials of opstra I will check full backtest and let you know all how this strategy worked previously

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      we request you check the data so that it will give you more confidence

    • @riddhisiddhiearnings806
      @riddhisiddhiearnings806 3 роки тому

      @@IBBMIndia I don't have opstra premium subscription otherwise I will give full month wise details of this strategy...

  • @sandeephooda3168
    @sandeephooda3168 3 роки тому

    ❤️, it, first strategy and then q and A video.

  • @dsatyanandam
    @dsatyanandam 3 роки тому

    Very good sir
    God bless you

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Thank you very much. Please subscribe to our channel and press the bell icon for further updates. www.ibbm.co.in

  • @arunkrishna210
    @arunkrishna210 3 роки тому

    Thank you very useful definitely i will back test the statergy

  • @nishchintkumar2744
    @nishchintkumar2744 3 роки тому

    What is max loss of profit in this statergy

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @vinayjagtap6629
    @vinayjagtap6629 3 роки тому +2

    Sir, if market goes out of hedges, then what ?
    Whether we have to shift straddle, then also ?
    If yes, then the new straddle which is out of hedges, they will be naked, then what to do ? Pls Reply 🙏

    • @gsssatish
      @gsssatish 3 роки тому

      How can it become naked? We are not touching Buy legs. After 1000 point movement. Close Short Straddle and Open new Short Straddle.

    • @vinayjagtap6629
      @vinayjagtap6629 3 роки тому

      @@gsssatish it is monthly iron fly. So in one month, it is possible to shift the straddle no of times, and the situation may come which I have specified. That I want to know.

    • @gsssatish
      @gsssatish 3 роки тому

      @@vinayjagtap6629 Once you adjust after 1000 point movement... It's no more Iron Fly... Just a Short Straddle and Long positions remains as hedges...

    • @vinayjagtap6629
      @vinayjagtap6629 3 роки тому

      @@gsssatish ok, Thanks

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      we have hedge position

  • @caraghavsharma3771
    @caraghavsharma3771 Рік тому

    After watching the number of videos, I decided to buy a full advanced options strategy course but before joining the course I spent around Rs 12,000 today on the Intraday option selling strategy and weekly butterfly strategy. My genuine feedback is most of the concepts are not feasible to implement in the long run. I am feeling my money is wasted, and even customer support does not guide me properly regarding covering of above concepts in the advanced options strategy. In the above strategy, even 1 V shape recovery month will be a big disaster. Check January 2022 and September 2022.

    • @IBBMIndia
      @IBBMIndia  Рік тому

      Dear Sir, you understood something wrong, please mail
      Your query to training@ibbm.co.in , we think, some gap is there to understand the concept, fee free to connect through email

  • @krunalrathod1827
    @krunalrathod1827 2 роки тому

    I m learning this strategy.Ye strategy ek lot me minimum or maximum kitna investment lag jayega? Sir koi aisi strategy bataye jo kam investment like 1lac around me apply ho sake.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      Download ibbm app from play store, watch positional option buy or ibbmonline.com

  • @AUTechetah
    @AUTechetah 3 роки тому

    if market moves 1000 points i have to shift to another pair os selling options , in this case what will happen to hedge pair of past buying pair

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @sachinsahu9151
    @sachinsahu9151 3 роки тому

    In 2018, plz provide video how we have to calculate with this strategy.

  • @jigneshdhanani115
    @jigneshdhanani115 3 роки тому +2

    Sir month kai last week mai jab sell position ko shift kare to buy positions ko bhi shift karna hai please answer thanks

  • @Sakura-oe2cd
    @Sakura-oe2cd 3 роки тому

    Sir, the call/put we buy for hedge, our broking terminal Zerodha does not allow it. Pl suggest what can be done

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @marketfollower3259
    @marketfollower3259 3 роки тому

    Please share some backtest through opstra

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      we always request you to do the back testing so that it will boost your confidence

  • @sangrambadhe9330
    @sangrambadhe9330 3 роки тому

    Hello sir,
    In this video still there is one dought unsolved.
    If market is at 38500 and we sell call and put at ₹ 1000 and buy call and put at 37500 put and call at 39500.
    If market moves 1000 point up than our position will shift at 39500
    Again market moves 1000 points up our position will shift at 40500
    And after that next day market moves down and hit lower circuit by 10% in that case our hedge is very far and we have credit of 1000 points only and market move down by 4000 points due to lower circuit from 40500 to 36500 and our lower hedge is at 37500. There is hudge loss of 2000 points due to overnight gap down.
    How to manage that?
    Please explain.
    Thanks in advance.
    🙏🏻

    • @shivakumarkothi3330
      @shivakumarkothi3330 3 роки тому

      Same doubt I got while backtesting in Opstra, for APR 2021 and December, november months..

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      we need to move hedge also accordingly' please see the video carefully

  • @tradewithrj08
    @tradewithrj08 2 роки тому

    its very useful during starting of month. I earn good profits from this. THANK YOU SO MUCH SIR. I M GREATFUL FOR YOUR WORK ,,,,MAHADEV BLESSING YOU....

  • @MarketSeeker16
    @MarketSeeker16 3 роки тому

    Thank you Anuj Bhai
    Got clear idea about adjustments

  • @pu8192
    @pu8192 3 роки тому +1

    During the last week of expiry, if we shift the CE & PE sell to next month - then do we shift the hedge also to the next month ?

    • @jolin31
      @jolin31 3 роки тому

      i had same question, I think in that case we need to exit from all 4 legs on expiry else our hedges will be closed due to expiry and we will remain with straddle sell only

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @nishokkumarparia6900
    @nishokkumarparia6900 2 роки тому

    Sir if we have make the adjustment in last week of the month then we have to take the expiry of 1st Thursday of next month or last Thursday of next month ?

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      Last thursday of next month

  • @TheANILbisht
    @TheANILbisht 3 роки тому

    Sir please tell us what is the logic behind 1000 points move..why we are considering only 1000 point move on either side not 700,800,1200 ..etc...

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      to make it more easy and give banknifty a space

  • @hemant8675
    @hemant8675 3 роки тому

    WHILE TAKING POSITION DO AT THE START OF NEW EXPIRY SHOULD WE PLACE BASKET ORDER OR WE EXECUTE THE ORDER ONE BY ONE

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @chanderanand334
    @chanderanand334 2 роки тому

    These days there is lot of volatility, bank nifty crosses1000 pts in one day, vix is constantly above 20. Will it be prudent to switch position every 1500 pts. Can it be linked to value of Vix. If Vix is around 15 then we change position every 1000 pt. Your comments please.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      Yes shifting of octopus depends at VIX

  • @ramkumaryadav2416
    @ramkumaryadav2416 3 роки тому +1

    Sir if tgt ie 2 to 3% are achieved in 10 days then position hold/exit up to month last???

  • @bhaudxb
    @bhaudxb 3 роки тому +4

    जब इंडिया विक्स 10-11 के पास होगा तब स्ट्रेडल में 1400 पॉइंट प्रीमियम नहीं मिलेगा 1000 पॉइंट के करीब मिलेगा तब भी 1000 पॉइंट की मूवमेंट पे सिफ्टिंग करनी है या उससे कम ?

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      1000 point gap up/down or immediate movement on screen, will create further VIX in next pair and you will get better returns

  • @ashishsym
    @ashishsym 3 роки тому +1

    During backtesting I came across a scenario. If we opened iron fly on 22nd March for april 2021 expiry then 34000CE/PE with value (1450+1245=2695) is sold and 36500CE
    and 31500PE is bought. The straddle shifting was supposed to be done at 32000 strike but mkt gap down on 12 April to 31600 so we have to now shift straddle to that 31500 strike but we already have a buy of 31500PE as per original positions. What is to be done in this case? Do we sell 31600 or 31400 straddle instead of 31500 or is there something else to be done? Please advise. Many thanks.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @ghanshyampandya2128
    @ghanshyampandya2128 3 роки тому

    Sir month ke last week me strike movement karne ki aati hai to sell position aur hedge position dono next month me shift kar Lena hai or only sell position ?

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      we will cover your query in our upcoming videos. Stay tuned!

  • @atanukumar308
    @atanukumar308 3 роки тому

    Nifty me 150 point ke movement pe adjust kare to

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      will share different strategy for nifty

  • @atharvthegiant
    @atharvthegiant 3 роки тому

    Sir kya isko nifty per kar sakte hain??

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes, will make a video for nifty soon

  • @cooltrader9904
    @cooltrader9904 3 роки тому +1

    When we have to book profit or loss let it go upto expiry and if in last week if we shift to next month we have to shift our hedge to next month or let it go upto expiry please clarifty

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      hold hedge position, move sell position

  • @skydv007
    @skydv007 3 роки тому

    expiry settlement par bhi brokerage lagati hai zerodha me

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      keep it exchange settelment

  • @vibhavmisra009
    @vibhavmisra009 3 роки тому

    sir waiting for weekly strategy also

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Sure, Will upload soon. Thank you.

  • @ambarnayak4418
    @ambarnayak4418 3 роки тому

    Nice explanation sir.

  • @hireng1
    @hireng1 3 роки тому +13

    You said if we have to adjust positions in last week of current month then go for next month positions. Does this mean we should square off all current month positions including hedge positions and create new monthly positions?

    • @shaanse6402
      @shaanse6402 3 роки тому +2

      Yes...else they will automatically expire...

    • @hireng1
      @hireng1 3 роки тому

      @@shaanse6402 Thanks Shaan however what if we have still 4-5 trading days left for last week and market is trendy. Our old hedge positions could give more returns then creating new. Sell positions for next month makes sense.

    • @90aloke
      @90aloke 3 роки тому

      my takeaway is ride the next month expiry for the remaining few days to avoid the noise and exit completely on the expiry day

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes correct

  • @mathematicszone8367
    @mathematicszone8367 3 роки тому

    Any one try this in september plz share result

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      You can backtest the strategies on your own as well.

  • @maheshtech8645
    @maheshtech8645 3 роки тому

    Sir, can you please explain what is advantage of this strategy over iron condor?

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      @mahesh We will cover your query in our upcoming videos. Stay tuned!

  • @gulamrasulbijani8575
    @gulamrasulbijani8575 3 роки тому

    Niftyme kitne point per shift karna chahiye?. Please answer me.thankyou.

  • @mushirshaikh5983
    @mushirshaikh5983 3 роки тому

    If shiftings more than 5 or 6, W pattern , then loss will be there...almost 400-500 points

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes it can be' but the key is to hit trade consistent with same pattern

    • @hirenpabari3102
      @hirenpabari3102 2 роки тому

      @@IBBMIndia Sir sometimes after movement of 1000 points the selling straddle at that time would be less than 1000 rs premium so what to do it can add more loss to it?

  • @fifaronaldo7322
    @fifaronaldo7322 3 роки тому

    Sir if I implement this for nifty for how many points I need to shift the range

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      will share the video soon for nifty

  • @chahatchaudhari1432
    @chahatchaudhari1432 3 роки тому

    This strategy is suitable for all vix conditions?

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      keep on doing with same volume and discipline, for consistent timeline, you will get good returns.

  • @1000mallikarjuna
    @1000mallikarjuna 3 роки тому

    sir....If the premium received in 2 nd or 3rd week is less than 1000 points like 800 or 900 points.....should i wait for 1000 point move or 800 point move to shift my position...hope u understand my question..??

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @rekhawakchaure8758
    @rekhawakchaure8758 3 роки тому

    My other question is on 1000 point movement. From which price we need to count 1000 points. Is it from strike price or ATM price when we sold CE/PE e.g. CPM 36800, sold 36500 CE/PE so we need to count 1000 points from 36500 or from CMP 36800

    • @Kaushikk1122
      @Kaushikk1122 3 роки тому

      tumse na ho paayega

    • @mushirshaikh5983
      @mushirshaikh5983 3 роки тому

      Sold strikes

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      @ Rekha We will cover your query in our upcoming videos. Stay tuned!

  • @bafna.dilip-
    @bafna.dilip- 3 роки тому +1

    Sir 1000 point hi kyu. Aur mera sell value 1000 se kam ho tab

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      keep 3 percent of spot for shifting average

  • @ashishsym
    @ashishsym 3 роки тому

    If we are initiating today , then do we buy CE/PE as per month start values i.e. 38KCE and 35K PE or we will buy as per current value of BN which will turn out to be buying of 37500CE and 35500PE and selling of 36500CE/PE?
    When we are shifting to next month option selling then what about current month CE/PE buy. Do we switch those too?

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      yes, as per current market value

  • @rajivkamra6408
    @rajivkamra6408 3 роки тому +1

    Best mantra of financial market business...keep doing it as we do our other businesses...
    Learnt from gurus ..anuj sir and sudhanshu sir

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Thank you so much. Keep learning!

  • @gauravarora2462
    @gauravarora2462 3 роки тому

    Sir in case of gap-up or gap down you have suggested to sell ATM straddle. The next adjustment would be 1000 points up or down from the new straddle or adjustments as per earlier straddle are required to be done

  • @karnikkaushal2017
    @karnikkaushal2017 3 роки тому

    hello sir, if let in your example markrt moves to 38500, then after 3rd adjustment we sell 38500 PE/CE. In this case, our PUT is hedged very far at 34000 and CALL is not hedged, then what is the scenario and how we manage?

    • @karnikkaushal2017
      @karnikkaushal2017 3 роки тому

      @@90aloke sir its not about v shape recovery, its just how we manage when we are out of hedging strikes?

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      manage the trade in the way it is taught in video

    • @hirenpabari3102
      @hirenpabari3102 2 роки тому

      @@IBBMIndia Sir he is correct if v move the the straddle after movement of 1000 points than any one side hedge position would be away 2500 points,
      Pls clarify ?

  • @riddhisiddhiearnings806
    @riddhisiddhiearnings806 3 роки тому +2

    Sir main question ye tha comments me ki agar Kisi month me 5-6 time shift Karna pad gya to every movement pe hum 200 point loss lenge , vo recover kaha se karenge, aur jese jese week Kam hote jayenge premium bilkul Kam milega, us case me kya hoga?
    One more question hedging ko shift Karna h ki nhi , do teen baar check Kiya video par samajh nhi aaya

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      1000 point gap up/down or immediate movement on screen, will create further VIX in next pair and you will get better returns

    • @riddhisiddhiearnings806
      @riddhisiddhiearnings806 3 роки тому

      @@IBBMIndia thanks for replying

  • @vibhavmisra009
    @vibhavmisra009 3 роки тому

    Last week mein shifting nahi karni hai to kya loss book karna padega? Aur next expiry mejn shift hona padega

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @AnilChauhan-fw7vq
    @AnilChauhan-fw7vq 3 роки тому

    Sir,if bnifty gapup or gapdown so one option come in the money ,so inthe money options required more fund and less spread

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      in case of squareoff, this is not true

  • @sunilarora3397
    @sunilarora3397 3 роки тому

    Isse to weekly sale monthly buy kar lo all auto expire every Thursday 3.15 par karna bas or kuch nhi karna

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      in that case, delta will be a problem

    • @sunilarora3397
      @sunilarora3397 3 роки тому

      @@IBBMIndia continue live trade then see magic

  • @anitadhawan4985
    @anitadhawan4985 3 роки тому

    Sir how can we choose that how much points BANKNIFTY moves from our straddle to adjustment.some our collected premium is 800,1000,1500 etc.
    As u guided in video 1400pts collected and adjust after 1000 pts

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      YOU NEED TO MAKE ADJUSTMENTS AT 1000 points move

  • @omengg2460
    @omengg2460 3 роки тому

    Thank you for your sweet voice clear explanation above all your good humanity. God bless you for educating investors

  • @virenshah4997
    @virenshah4997 3 роки тому +1

    What difference point for adjustments we should consider if BN spot becomes 50000 or 25000..1000 points difference won't be feasible in above scenario?

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes, it should be 3 percent of the price approx

  • @hanwants
    @hanwants 3 роки тому

    Nifty ke liye bhi same type ki strategy ka video banaiye Sir

  • @romykumar
    @romykumar 3 роки тому +4

    ***Thanks for sharing the strategy...I have a question on hedge and adjustment points in high vix scenario. lets say nowadays vix is low and premium is low so we buy hedge aroun 1500 pts far and do adjustment after every 1000 pts but when vix is high and premium is also high like more than 1000 for each leg then also we need to follow the same rules for adjustment and hedge or it will be chnage?***

    • @fundoo124
      @fundoo124 3 роки тому +3

      In that case hedge position will be 2000 points away and shifting will be after every 1500 points.
      General rule of iron fly is to hedge position at strikes which will come after adding both premiums collected.
      For example, if we collect premium of call and put as 1800 on high vix, then hedge position will be 1800 points away. Shifting will be 500 or 1000 points less than total premium.

    • @fundoo124
      @fundoo124 3 роки тому

      @@90aloke you must check vix two years back. Current vix environment is not new. Old traders are still making profits by selling options. Premium is appropriate for ATM options.

    • @90aloke
      @90aloke 3 роки тому

      @@fundoo124 the spreads are very narrow and more often than not you end up making adjustments, I personally prefer calendars until vix moves slightly up.. would like to know your style too.

    • @fundoo124
      @fundoo124 3 роки тому +1

      @@90aloke Yes, calendars are safer in this kind of market. I also use slightly different kind of calendars.

    • @ashishsym
      @ashishsym 3 роки тому

      @@fundoo124 Bro, can you please clear below too.
      If we are initiating today , then do we buy CE/PE as per month start values i.e. 38KCE and 35K PE or we will buy as per current value of BN which will turn out to be buying of 37500CE and 35500PE and selling of 36500CE/PE?
      When we are shifting to next month option selling then what about current month CE/PE buy. Do we switch those too?

  • @akshaymehta8187
    @akshaymehta8187 3 роки тому +2

    Very Nice work. Please note the margin requirement is apprx. 50 k and not 2-3 lakhs as you said. This is a hedged trade so requires lesser margin. Thus the returns calculated on percentage basis is simply fantastic.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      correct

    • @anishanayardhawan3591
      @anishanayardhawan3591 3 роки тому +1

      When there is a 500-600 point move in Bank Nifty because of mtm broker automatically squares off loss making leg. So if you were not in front of screen you will have a loss. Plz suggest capital required keeping on mind adequate margin required.

    • @digikahani
      @digikahani 3 роки тому

      @@anishanayardhawan3591 atleast keep 3-4Lakh in account theory and practical both are different in margins.

    • @mk-we4yt
      @mk-we4yt 2 роки тому +1

      Did extensive back testing on this. Apr & Mar 2021 combined eat away all the profits earned in entire 2021. This is susceptible to very high losses incase of 3-4 adjustment scenarios.

  • @vibhavmisra009
    @vibhavmisra009 3 роки тому

    Sir 36500 pe banai hai oct expiry ki, month ke last mein hi banani chahiye ya pehle bhi bana sakte hai thoda? 1st shifting ho gayi hai -175 points ka loss hua hai shifting mein, is it ok?

    • @mathematicszone8367
      @mathematicszone8367 3 роки тому

      Heyy
      You start the starategy?

    • @vibhavmisra009
      @vibhavmisra009 3 роки тому

      @@mathematicszone8367 yes 2 days ago

    • @mathematicszone8367
      @mathematicszone8367 3 роки тому +1

      @@vibhavmisra009 i am also planing to do this from tomorrow

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      @VaibhavMishra we will cover your query in our upcoming videos. Stay tuned!

  • @vidyadhar2236
    @vidyadhar2236 3 роки тому

    Nice sir....in the last week of month we shifted to Next month....what about hedges . Hedges should be from Next month or we keep same hedge for one more week.please reply sir....

  • @arunavadewan1962
    @arunavadewan1962 3 роки тому

    Sir you said to go to nxt month when 1000 point mark breaches near expiry.Request you to clarify with example.
    Thanks in advance.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Yes, correct, explained in video very clearly, request you to watch once again

    • @arunavadewan1962
      @arunavadewan1962 3 роки тому

      @@IBBMIndia Dear Sir,
      First of all Thanks for your reply.
      We have to adjust when index moves 1000 up or down. Why 1000 points and not 500 or 700 points.

  • @japjitsingh7866
    @japjitsingh7866 3 роки тому +4

    Thankyou for such a wonderful strategy sir. I have one doubt left, if we are adjusting in the last week of expiry, thus moving to next month straddle, then do we have to move the hedges too? If not, when the hedges expire, then we have to buy new hedges??

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      once hedge expire, immediate buy new legs

    • @shivatamil4990
      @shivatamil4990 3 роки тому

      @@IBBMIndia sir when we buy new hedges, how much far away strike prices we should buy? Suppose for example BN moves 500 points in the last week before expiry then now new legs should be 1500 points away from current spot value or is it 1500 points away from previous week spot value at which we created new straddle?

    • @hemant8675
      @hemant8675 3 роки тому

      @@IBBMIndia IS IT OKAY IF HEDGES RATE COME NEAR 10-20 THEN EXIT JUST TO SAVE SOME MONEY

    • @shailesh3557
      @shailesh3557 3 роки тому

      @@IBBMIndia Sir, What if ATM goes beyond either of the hedges? Kindly respond. Thanks

  • @naveensidana5623
    @naveensidana5623 3 роки тому

    Very good strategy sir but 1doubt to be asked can we do adjustment at movement of500 points on any side

  • @sachinsahu9151
    @sachinsahu9151 3 роки тому

    If we back test this strategy. In 2018 bank nifty open on 25534 and earlier was also in a decreasing way. On that year to back test this strategy with 1000 points adjustment or we have to decrease the adjustment point on that year. Because in 1earlier 2018 BN was far lower than the current level. Plz suggest, waiting for your reply.

  • @jolin31
    @jolin31 3 роки тому

    Sir in case if we get shifting in last week, then do we need to move hedges as well? if not then shall we exit from all 4 legs on the main expiry?

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      we need to move hedges

  • @MrSatyam33
    @MrSatyam33 3 роки тому

    Sir i have a query - If we let the options to be settled by exchange on expiry our options may be ITM/ Deep ITM will the broker not levy a hefty penalty on it??

    • @IBBMIndia
      @IBBMIndia  3 роки тому +1

      If Index options then no penalty, if stock options you have to take or give delivery as per option bought or sold by you and also physical delivery is only possible in stock options. So you have to only worry of the stock options which are ITM. You must cover them.

  • @marketpheonix5123
    @marketpheonix5123 3 роки тому

    Bro make video on Stock options selling in low beta low alpha stocks to get cosistent money generation that will be less or zero risky....hope u will understand.....
    People only thinks for buying in index options...

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Sure, will consider the same. Thank you.

  • @SanjeevKumar-lq9on
    @SanjeevKumar-lq9on 3 роки тому

    Sir is it not risky that under hedged position may give us a big loss if any uncertain news comes.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      no,. hedge is always there

  • @rishikotwani438
    @rishikotwani438 3 роки тому

    Anuj sir...freak trade in bank nifty 37100 pe its jump at 1921rs ..sir aap bataaye ..how to handle this kind of freak trade ..yaa fir koi action le saktey he exchange ke against..koi bhi solution ho ..plz bataaye.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes, ua-cam.com/video/SmBoQzht6K8/v-deo.html

  • @hemant8675
    @hemant8675 3 роки тому

    DEAR SIR, IF I AM RECEIVING PREMIUM OF RS 2000 THEN ALSO I HAVE TO DO SHIFT AT EVERY 1000 MOVE OF BANK NIFTY...............PLEASE TELL IF I RECEIVE RS 3000 PREMIUM THEN WHEN TO SHIFT

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @laxsri
    @laxsri 3 роки тому +1

    You did not answer the main Q from your previous video:
    The time value you are considering for 1443 is the same which is bringing loss of -200 points in every move (1000 points wala), so why are we double counting? We are booking a loss of -200 points against the sold joda of 1443 only, right?

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes correct, but if 1000 points move come immediate then you will get more vix in next pair and it will be sold at higher price

  • @nithycg
    @nithycg 3 роки тому

    Thanks a lot Anuj! Do we have an exit rule in between ? or need to hold until expiry ?

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @Mitlucky7
    @Mitlucky7 3 роки тому +1

    1. Sir Jab mkt gap up ya gap down open ho to hame kitne time ke bad Naya trade lena hai (I mean can we wait for 10-15 minutes and then do or do it immediately)
    2. How to handle Freak
    By the way all your logics are true👍
    I like the way u teaching n all the very best for ur future
    Thanks

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      thanks, for freak ua-cam.com/video/SmBoQzht6K8/v-deo.html

  • @Mitlucky7
    @Mitlucky7 3 роки тому

    Sir 1 more query out of the video that
    Is there any software where if we want to sell or buy a pair of a particular strike at our desire price and if it meets our price then only our order get executed
    Thanks 😊

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      yes we can, please ask your broker

  • @saurabhgupta5059
    @saurabhgupta5059 3 роки тому

    Sir I am realy sorry to say that I have not found my query even in QNA spl video...I once again request you please check my query and let me know where I am wrong in my calculation.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      Will try to do the same.

  • @rekhawakchaure8758
    @rekhawakchaure8758 3 роки тому

    Last week of expiry adjustment. You mentioned sell CE/PE of next month. So I hope we do not have to change hedging positions from the current expiry to the next expiry.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      We will cover your query in our upcoming videos. Stay tuned!

  • @rohitsuri9522
    @rohitsuri9522 3 роки тому

    can we follow this same strategy for NIFTY monthly....if so where to buy the hedge and after how many points movement to do the shifts??

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      will share the video for nifty soon

  • @sameerchawan6354
    @sameerchawan6354 3 роки тому

    Sir can you let us know how much is the capital requirements? Because for selling CE and PE, we would require atleast ₹1.6L each. Also around 20K for buying the hedged options... So taking the example appx profit would be ₹9k on ₹3.25L capital. Am I right in saying that??

    • @digikahani
      @digikahani 3 роки тому

      Today checked zerodha showing 55k margin

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      @Sameer We will cover your query in our upcoming videos. Stay tuned!

  • @mohitsinghania9590
    @mohitsinghania9590 3 роки тому

    Hello Anuj,
    I made decent return this October expiry in your strategy. I want to know if there are any tweaks in the strategy now that BNF is at 41000. The time you shared the strategy, BNF was at 30000 odd levels.

    • @IBBMIndia
      @IBBMIndia  2 роки тому

      keep learning and making money' you can vhanhe the conceot always by percentage if banknifty moves significantly

  • @deathdecay5714
    @deathdecay5714 3 роки тому

    As per the stratergy if buy options goes more ITM (EX. buy @ 250 and if goes itm 3500) IN CORONA TIME
    how can we exit in this illiquid stike situation.

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      in that case leave it for expiry settlement

    • @deathdecay5714
      @deathdecay5714 3 роки тому

      @@IBBMIndia may i know at wat price will it get settled.
      because once i sold stocks intraday and could not closed at the day end and it went to settlement @T+2 days and got settled at 20% higher price .
      i was in profit of 2k and got settled with -2k...
      so will the options settlement wil also be like this?

    • @hirenpabari3102
      @hirenpabari3102 2 роки тому

      @@IBBMIndia what I we are at same level of hedge position one side how to move another straddle or to exit it completely

  • @kamleshvyas5512
    @kamleshvyas5512 3 роки тому

    Sir is stretegy ko job karne wale kese kar sakte he isme to pura din market ko hi dekhna padega. Esi koi best stretegy he jo working people bhi kar sake or 40-50% yearly profit kar sake pls bataye...

    • @IBBMIndia
      @IBBMIndia  3 роки тому

      no, no need to see market, 1000 point move will not happen daily