Limited Risk NIFTY Strategy (July & August) - 58% Max ROI/PROFIT!

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  • Опубліковано 28 лип 2024
  • NIFTY Strategy for July & August with Limited Risk devised by Options Expert P R Sundar. Trade at your own risk.
    Our official Telegram channel - t.me/PRSundar
    Register for Options Unlocked Webinar by P R Sundar - www.elearnmarkets.com/webinar...
    ----------------------------------------------------------
    ► Best Brokers in India (based on Margin Leverage, Collateral Acceptance, Trading Platform, Brokerage, etc)
    IIFL - bit.ly/PRSIIFL
    (While registering, in the last page, choose the 'Cheque' option and write "10,000" in the text box to waive off account opening charges + no need to pay margin immediately)
    Zerodha: bit.ly/PRSZerodha (Update: Long Term Options & Far OTM Buying not allowed)
    ----------------------------------------------------------
    Related Videos:
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    ----------------------------------------------------------
    Topics covered in this video:
    00:00 - Intro
    00:15 - Edge & Hedge behind the strategy
    02:47 - STRATEGY/Trades
    06:21 - Profit & Loss Potential
    08:10 - Margin Money Required
    10:25 - Why not do this in July?
    ----------------------------------------------------------
    SHARE THIS VIDEO with fellow investors and traders.
    Share on Facebook, Twitter, WhatsApp.
    SUBSCRIBE and turn on the BELL ICON for more videos.
    ----------------------------------------------------------
    ►Background Music Credits:
    / chukimusic
    Beat made by Chuki Beats
    #NiftyStrategy

КОМЕНТАРІ • 560

  • @swarajagal5104
    @swarajagal5104 4 роки тому +9

    Sir , you were right about the 200 EMA but .5 fib Retracement was already crossed when nifty touched 9950

  • @gopikumar160
    @gopikumar160 4 роки тому +1

    Thank u sir , lot of traders lose money,but if they follow u definitely they r into profits, pls do UA-cam videos like these for them, u r the guru for me .thank u very much sir ,no words to praise u ,its my feeling ,beleave me its a feeling of lot of traders also.

  • @focusacademy4794
    @focusacademy4794 4 роки тому +11

    I'm running a tution centre in coimbatore.. I suggest my commerce and accounts students to watch your videos.. thanks for motivating us
    Sir!! We want you to start a tamil channel 👍

    • @itsutkarshyadav
      @itsutkarshyadav 4 роки тому

      What about now , when you have lost 1.8 lacs..

  • @gobinoobi1854
    @gobinoobi1854 4 роки тому +17

    Sir please make a video on how you trade during expiry day..just an overview would be enough...

  • @pratapgowda691
    @pratapgowda691 4 роки тому

    Sir,I have learnt something from you... That's for sure... The way u explain things are very good.. You will explain in neat and discipline manner... Tq

  • @BharatFirst007
    @BharatFirst007 4 роки тому +9

    As usual, perfect explanation..keep giving such strategies sir.

  • @manojnair9197
    @manojnair9197 4 роки тому +1

    Sir thank you for such a wonderful explaination

  • @Ashishsingh-qf1mv
    @Ashishsingh-qf1mv 4 роки тому

    A great knowledge given by you to us.. thank you so much.
    Although I never sell options but it is opening mind in new direction.
    Thanks

  • @thelayman6189
    @thelayman6189 4 роки тому +17

    Perfectly timed video !! That's strategy 😃

  • @rahulingle1717
    @rahulingle1717 4 роки тому

    Thank you P.R sir, learning from the master always give you great confidence, you r master blaster of the share market,

  • @gauravawasthi4096
    @gauravawasthi4096 4 роки тому +1

    Sir how can we change strategy immediately based on market condition like you mentioned you shifted to buy from sell around 10000 . please share some thing here aswell as we can prevented from loss in future.kudos to your knowledge

  • @rishikeshkulkarni3637
    @rishikeshkulkarni3637 4 роки тому

    Very informative video. Thanks for sharing. Please keep coming up with such great content. May god bless you.

  • @VenkateshChowdary99
    @VenkateshChowdary99 4 роки тому +2

    Want to learn more of these, like background work, calculations etc . Do you have any workshops / courses available ?

  • @abhimanyudas9056
    @abhimanyudas9056 4 роки тому

    Thanks for this video sir....as senior you are sharing your valueable knowledge and we juniors r gaining knowldge......😊

  • @phanirajraichooti
    @phanirajraichooti 4 роки тому +3

    Nifty has reached 10600 now, this is quicker than expected. So any adjustments recommended at this level as this strategy works well at higher levels near expiry only?

  • @nag6245
    @nag6245 4 роки тому +9

    Can we do any adjustment if markets goes above 11300 ! Like park the trade or switch trade

  • @kamalshah2824
    @kamalshah2824 4 роки тому +1

    Sir thanks for sharing strategy, I have one question, when we should do adjustment? If buy call crosses 10500 strike? should we start selling put option or we should wait till market goes to 11000? Pls advise sir, for our education, regards

  • @ajayp1799
    @ajayp1799 4 роки тому +1

    Power of stocks channels subhasish....is one of the best channel for indian markets....most genuine person....

  • @pradeepshantagiri
    @pradeepshantagiri 4 роки тому

    Thank you sir...for small traders like us it'll be good to learn and earn some money. Thanks for boosting our confidence.

  • @pradeepbollu6475
    @pradeepbollu6475 4 роки тому +3

    Sir, It is going into 10k loss. Do we need to do adjustment trades

  • @krajababu8674
    @krajababu8674 4 роки тому

    Sir, july 1st week in formation is very good sir. I really impressed thank you sir.

  • @himanshubarnwal7811
    @himanshubarnwal7811 4 роки тому

    Sir you've given all the complete solution.... Now people won't get this strategy anywhere else.... He is the only truthful person in options strategy.....

  • @gokulavarma270
    @gokulavarma270 4 роки тому

    Ratio Spread & Long call Butterfly Best Strategy..Risk less /Reward is More high...Thank you for wonderful video Option King

  • @saravananjayaraman9402
    @saravananjayaraman9402 4 роки тому

    As usual, amazing sir. Thank you.

  • @venkateswararao4485
    @venkateswararao4485 4 роки тому

    Sir, I understood everything you said except when to take the positions. Two months before means in July only...isn’t it. Otherwise do we should take the positions in August series. Pl explain. Thanks.

  • @Shamim_Akhter
    @Shamim_Akhter 4 роки тому

    Sir it will be very helpful if you could give us broad guiding principles of making adjustment. Thank you sir for enlighting us about option.

  • @rivz153
    @rivz153 4 роки тому

    Thank you Sir. Very clear explanation .

  • @powerofindex4034
    @powerofindex4034 4 роки тому

    Awesome Explanation Sir. I'm die hard fan of you. Thank you for the videos Share market
    Super 🌟.

  • @RajashekharaC
    @RajashekharaC 4 роки тому +1

    Thank You for Sharing Information ℹ️

  • @dansajat
    @dansajat 4 роки тому

    Excellent video, thanks for educating

  • @WealthPrabhu
    @WealthPrabhu 4 роки тому

    Hello Sir, I'm learning regularly from you. These videos are very useful. I would like to learn about ETF investment from you, same time, Is it possible to trade and make a profit in ETF like stocks? Thank you, sir

  • @Mjoshi-ou7jm
    @Mjoshi-ou7jm 4 роки тому

    Quality of video has improved a lot.

  • @vidyapolmore9811
    @vidyapolmore9811 4 роки тому +3

    very good day sir , I am your follower & many occasions I sq. off my risky trades by watching your video, particularly last month I was too much bearish and was selling ATM naked call , or was shorting nifty futures. Sir in fact this is first time I took bullish strategy after listening to ur opinion. It is just 6 months that I started trading in option and future.
    I watched your video regarding Limited risk nifty strategy, I liked the strategy as there is no loss if nifty fall, my question is I took the same strategy with hedgeing but for the month of Jully. I know that I may loose some amount if nifty goes below 10500 but I am Ok with it. Still my view on nifty for longer term i.e. till Aug is bearish. My question is if the same strategy applied for Jully month is it OK? ( Disclaimer I take full responsibility of my trades.)

  • @dawsontauro5119
    @dawsontauro5119 4 роки тому

    Since Nifty is already at 11k levels what are the adjustment trades that need to be placed? An important point was missed in this video as to how notional losses will be incurred if market shoots up.

  • @ASKI999
    @ASKI999 4 роки тому

    Thanks sir. I believe many people will still take the same trade, request you to post if if there is some crucial adjustments need to made sometime I future. Request to accept advisory services again. Thanks !

  • @jayantasaha5871
    @jayantasaha5871 4 роки тому

    Appreciate your efforts!!!! Thanks for your valuable strategy.
    Sir, if NIFTY moves to current level on August Expiry near 10400, then we will not gain anything from this strategy. So, can we add one more leg with this and short 9500 pe with expectation of nifty between 9500 to 11000? I need your valuable reply sir.

  • @pankajjuneja1066
    @pankajjuneja1066 4 роки тому

    Sir, can we use sensibul instead of options orcale, bcoz i already hv paid subscription of it....

  • @raju5081
    @raju5081 4 роки тому +21

    If this strategy breaks breakeven range, how do we adjust this ? Can we do call buy ?

    • @rishikeshkulkarni3637
      @rishikeshkulkarni3637 4 роки тому +1

      11500 CE is a call buy. It's used to reduce your losses. If you're accumulating more and more call options contracts then your profit will decline. Because of increased cost.

    • @raju5081
      @raju5081 4 роки тому +1

      I think we can use bull call spread here

    • @dineshkumar-lv5jb
      @dineshkumar-lv5jb 4 роки тому

      @@rishikeshkulkarni3637 pls tell me youngman in this strategy is need stoploss or not

    • @rishikeshkulkarni3637
      @rishikeshkulkarni3637 3 роки тому

      @@dineshkumar-lv5jb This strategy was based on a specific direction. i.e. nifty should be trading in a range of 10600-10900. But nifty is above 11k right now. It didn't go the way he mentioned. I'd suggest you to exit the trade at a swing low that's when your loss will be minimum.

    • @jprakashus
      @jprakashus 3 роки тому +1

      @@arunpaul775 - The maximum profit is @ 11000 on expiry day. Before that eventhough it reaches 11000 it is not sure you get max profit. It depends on theta decay and VIX.

  • @saurabhnair4430
    @saurabhnair4430 4 роки тому

    But we can exit out once Nifty reaches the required target price right? There is no compulsion to wait till expiry right?

  • @durgeshsahaj
    @durgeshsahaj 4 роки тому

    Sir, Thank you very much for giving this valuable advice.

    • @durgeshsahaj
      @durgeshsahaj 3 роки тому

      @yoga subramanian
      Oh very sad. Will you please explain a little?

  • @saravanagcs7981
    @saravanagcs7981 4 роки тому

    Sir good evening and thank you for your valuable update. Please advise which brokerage account you are currently using for trading thanks.

  • @rajumuppa725
    @rajumuppa725 4 роки тому

    Thanks Sir, It is really helpful.

  • @revolutionindiab7390
    @revolutionindiab7390 4 роки тому

    Good Night Sir 💐
    Are we create Hedging without Option selling ??

  • @MaheshBabu-pe7bp
    @MaheshBabu-pe7bp 4 роки тому +1

    Sir on options expiry day can we buy options? I tried but rejected. Is there any possibility to buy options on expiry day?

  • @shivgmailmov3281
    @shivgmailmov3281 4 роки тому +9

    360 * 75 = 27,000. Naked call can loose 27,000 but to protect it, do hedging with risk of loosing 37,000. Naked call can give about 40K+ profit at nifty 11000. Hedging is a must but I am not convinced about this strategy.

    • @PRSundar64
      @PRSundar64  4 роки тому +13

      If market falls?

    • @KoushikOO7321
      @KoushikOO7321 4 роки тому

      @@PRSundar64 😅👌😆

    • @dharmeshvirani4611
      @dharmeshvirani4611 4 роки тому

      P R Sundar perfect... have to think about both sides

    • @jeyarajt5974
      @jeyarajt5974 4 роки тому +1

      If you buy naked 10500 ce, you will get only 10500 at 11000 expiry not 40k. ie., (500 - 360) x 75 = 10500.

  • @ratankumar7692
    @ratankumar7692 4 роки тому

    Is there any way we can use idle fund in our demat accounts with discount brokers like zerodha to earn interest and could liquidate easily if need to buy stock with those funds but it should have capital Guarantee plz suggest

  • @pushpa635
    @pushpa635 4 роки тому +4

    sir i have one curious doubt...its more probable(50%) that market wont fall below 8500 with in jul,so y cant one sell 1000*nifty jul 8000 put option at 1 rs ??? apart from heavy risk of falling below 8500 rs,ny other technical risk,which i am missing out?..my doubt is y people are not duing...its not as trading suggestion,as educative purpose

  • @keshavgoel8363
    @keshavgoel8363 4 роки тому

    Great Sir, explained very well.

  • @rajeshbanerjee4830
    @rajeshbanerjee4830 4 роки тому

    If I sell 2 lot and buy 1 lot bank Nifty carry forward then how much margin required

  • @krishnabeemanpally4475
    @krishnabeemanpally4475 4 роки тому

    Thank you sir for your valuable information 👌🏾🌹👍🥇

  • @sayanchakravarty
    @sayanchakravarty 4 роки тому

    Hello Mr Sundar. I just joined your retail membership. As I missed it on 24th July, I want to know if this strategy is valid for August Exipry? or maybe Sept ?

  • @rahmanshaik5147
    @rahmanshaik5147 4 роки тому

    Sir , how to use margin benifts ,I mean to say that if we take separate order buy and sell how can we use margin... please explain

  • @vanaa83
    @vanaa83 4 роки тому

    sir in zerodha margin calculator it show that it is only on strike price between 9700 - 10900, any other brokers allows far OTM strikes with same margin??

  • @dsview8484
    @dsview8484 4 роки тому +1

    Hello Sir. I am very new to stock market and my capitol is 3L and i am office goer cant monitor the stocks every-time. So is this the long term option? And can i follow this strategy considering my capitol and working situation?
    Thank you sir.

  • @tradingforliving3177
    @tradingforliving3177 4 роки тому

    You are great sir Thankx for knowledge 👏👏👏👏

  • @sourabhbhattacharjee7415
    @sourabhbhattacharjee7415 4 роки тому

    would you be able to buy 11000CE because few broker doesn't allow far OTM option buying

  • @DineshSingh-bk5pg
    @DineshSingh-bk5pg 4 роки тому

    Too good Sir.... awaiting for some more videos on option strategies

  • @balaji511
    @balaji511 4 роки тому

    Hi Sir, in scrip "nifty 12000 pe" what does the number 12000 denotes.

  • @saravananjayaraman9402
    @saravananjayaraman9402 4 роки тому +1

    Hi Sir, Have you made any adjustments to this trade? Could you please share the adjustment? I can invest more.

  • @vasudevkutumbakam108
    @vasudevkutumbakam108 4 роки тому

    Sir i m a big fan of you ,awaiting for your vedio another statege to learn thanks

  • @ajaxhncn
    @ajaxhncn 4 роки тому

    Through which broker can I get deep out of the money options to sell. Cause zerodha doesn't have so deep in the money options.

  • @versatilevijayr8475
    @versatilevijayr8475 4 роки тому

    Sir, thanks a lot for this strategy, I want to try this as my first option trading.

    • @kanagarajreigns3365
      @kanagarajreigns3365 3 роки тому

      @yoga subramanian I used this same strategy and made 52k. not everyone are losers like you.

  • @srinivasmunnuru4523
    @srinivasmunnuru4523 4 роки тому

    Sir is there any intraday option selling edging strategy. I heard delta neutral strategy can apply. Plz give u r opinion sir.

  • @saurabhrmahajan
    @saurabhrmahajan 4 роки тому

    Respected Sir ,Nice strategy ,You are really life saver,As I mentioned in my last msgs that you are my GOD.Do we have to hold same strategy until the expiry date, please reply!

  • @saranv8173
    @saranv8173 4 роки тому

    sir one small doubt if we square off on friday end of session even though nifty didnt cross 10500 profit realized for the above strategy is 890/- but it should be 266/- according to chart why that difference pl explain

  • @sumanrusum6854
    @sumanrusum6854 4 роки тому

    When I want to sell/buy 11000 it is showing strike price not near to spot price how I can buy/sell lonnger one like 11000

  • @SujeetKumar_Jha
    @SujeetKumar_Jha 3 роки тому

    The margin benefit will work on MIS or NRML orders. Plz clarify.

  • @mouryanova1693
    @mouryanova1693 4 роки тому +1

    Hello sir the total investment u said is wrong , in zeroda they don't show the buy cost so u need to add them separately so it will be 60k + 37k

  • @girishdhanur
    @girishdhanur 4 роки тому

    Thank you so much for your view .. It matters..

  • @sharonyohannan199
    @sharonyohannan199 4 роки тому +3

    Mr.Sundar ,Thanks for taking the time to answer my question.
    I trade intraday with little capital with pivot points.When I was doing paper trading,I was doing good.But after opening real account,I can't perform at that level because I just have a smartphone only.What should I do?Should I change by trading strategy or wait for a longer period?Looking forward to your advice 🙂

  • @swatianil1
    @swatianil1 4 роки тому

    Sir, if this doesn't work half the way, what adjustments you will be doing here? What about time decay? Any other greeks affect here? You choose OTM strikes here that means your view is bullish here.

  • @amarpatil5092
    @amarpatil5092 4 роки тому

    Hi Sir,
    August expairy Ratio spread strategy running above upper breakeven.
    Kindly help us to any adjustments required.

  • @samalapuramdevijaiprakashr5908
    @samalapuramdevijaiprakashr5908 4 роки тому

    Dear Sir... Can we take position tomorrow. If premiums varies time to time what is the impact Sir.

  • @rsvijhaipranith3115
    @rsvijhaipranith3115 4 роки тому

    Sir, could you keep us informed of any adjustments to this strategy

  • @bkgroups315
    @bkgroups315 4 роки тому

    Great strategy for retail traders thank you 🙏

  • @seenusira
    @seenusira 4 роки тому +1

    Hi sir.. if you don’t mind plz share bank nifty strategy for July month.. I have made some losses in June month.. I need to make up

  • @jegaraman
    @jegaraman 4 роки тому

    Sir it a good strategy .ratio call spread with added one leg of buying. Ratio becomes 2:2 now. So it is neutral now with no net sell or no net buy. What about time decay here. Will it have any affect.

  • @deepanram5509
    @deepanram5509 4 роки тому

    Neenga vera level...post some videos like this sir ..really superb
    One doubt sir....this oracle website gives p&l which accounts theta decay??

  • @yog146
    @yog146 4 роки тому +1

    Getting margin benefit is wrong. if you have only 65k in account. You should have all the (2.8 Lac + 65K = 3.5 lac) in account while you are entering position in all 3 legs.
    Once all legs trades executed may be than you'll see margin benefit in account.
    I'm yet to see how this is advantageous to retailers.

  • @suresh-visprasolar145
    @suresh-visprasolar145 4 роки тому +1

    Sir I have taken this trade. When and how adjustments to be done. Pls.guide

  • @jyothinathnarasing
    @jyothinathnarasing 4 роки тому

    Sir, please clarify my doubt how the 2 days workshop progrAm will help me to invest further. What are the programs you’re conduct in that program please explain. Is two days workshop is enough for tradings on options market?

  • @dsp1948
    @dsp1948 4 роки тому +1

    It is high time either you or Mr Passi give a video regarding Option Oracle . ( or Option Action / Definedge Opstra ).

  • @amarshah5650
    @amarshah5650 4 роки тому

    Hello Sir, Thank you for sharing these strategies. I have 2 questions:
    1. I would like to know how does this strategy behave during the period till expiry. Because the chart that you explained is the result on the day of expiry. But say suppose during the period if I hit the mark of max profit (around 11k mark), will I be able to exit? And how much would be the effect on the premium.
    2. As we are selling and buying contracts of next month (August month) do we have enough buyers or sellers to get our contracts executed.
    Plz excuse me if it is very basic question, trying to understand the concept.
    Regards

    • @sanjeen2503
      @sanjeen2503 4 роки тому

      1. No. You will be in loss if NIFTY goes to 11000 anytime before 14th August.
      2. There is enough liquidity for strikes that are multiples of 500. Now multiples of 100 are also gaining more activity.

  • @aydave4u
    @aydave4u 4 роки тому

    Sir you are Super star of F&O... Awesome strategy

  • @syamkumaryaragallasyamkuma7481
    @syamkumaryaragallasyamkuma7481 4 роки тому +1

    Requesting you sir
    Pls update regularly about August expiry.

  • @vidyapolmore9811
    @vidyapolmore9811 4 роки тому

    sir should we keep the TCS strategy open or exit ?

  • @rams5364
    @rams5364 4 роки тому

    Can anyone advice me as to how to put this trade in Zerodha in which order sequence to get the margin benefit.

  • @SuperKarthick12345
    @SuperKarthick12345 4 роки тому

    How much investment needed for this strategy sir? Is it the margin amount mentioned in Zerodha (64k) or 64k plus option buying capital of 45 which is 1.09lacs?

  • @stockptech987
    @stockptech987 4 роки тому

    Hello sir,
    As per this strategy, there is nothing to loose if market falls. And if so, why shall I wait for market to come down once it reaches to 11K as I know after 11K, I will have reduced profit until market reaches to breakeven point?
    My question, is why not we exit the position once market reaches to 11K?
    Request you to clarify, please.

  • @spranav1998
    @spranav1998 4 роки тому

    Sir the margin calculator of Zerodha is slightly wrong in the sense that they don't calculate the option buy value into the margin so the total amount required to place this strategy is about 1 lac

  • @bhoganchanakya8542
    @bhoganchanakya8542 4 роки тому

    why would you buy 150 qty of 11500 call again, is it because to bring the margin money to 65K... pls clarify

  • @harikrishnante5839
    @harikrishnante5839 4 роки тому

    Hi Sir, 11000 sell options shoots up sharply vs 10500 & 11500 buy options . can u please explain the strategy further

  • @t2vtrader973
    @t2vtrader973 4 роки тому

    Will I get that margin by placing individual orders? Or is there method ? Someone clarify me please

  • @3577lalu
    @3577lalu 4 роки тому

    Dear Sir,
    Sir; is any adjustment needed if nifty reach 11000 soon ..?
    Now Nifty is only short of 250 point from Max. profit zone (11000)
    Please advise.

  • @shashikumarcm6883
    @shashikumarcm6883 4 роки тому

    Sir, still trade is active, without corrective trades..
    Mkt is bullish??

  • @imrankhan-qt3gg
    @imrankhan-qt3gg 4 роки тому

    Sir.. this Pro trader service and advisory service of telegram is different or same. If different then when will advisory services started

  • @rahulcoolguycute
    @rahulcoolguycute 4 роки тому

    Sir cant we sell the options in Aug and buy the options u mentioned in july ?

  • @rangareddy9570
    @rangareddy9570 4 роки тому

    Perfect and good strategy Sir.

  • @KoushikOO7321
    @KoushikOO7321 4 роки тому

    Thanks, Sir for yr Last advice.

  • @pysksk7722
    @pysksk7722 4 роки тому

    sir, thank you. I have a question - when will we be making max profit which is shown - is it whenever the price comes to the 11000 or if the price is 11000 on expiry day?