Super Simple Zero Adjustment Profitable setup by Kundan |

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  • Опубліковано 27 гру 2024

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  • @vishalamle8330
    @vishalamle8330 5 місяців тому +11

    Just 2 things noticed if someone wants to try this strategy…
    For 1st few trades.. est margin 2.6L
    Last 2 trades.. it was 5L
    So, capital requirements are extremely volatile… not possible for a normal retail trader with fixed capital to deploy this…
    Also, that extra CE leg for far OTM to manage skew will not always be possible to buy/exit due to liquidity issues…
    Kundan is extremely disciplined… thanks for detailed explanation.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +6

      Hey Vishal
      Yes deployed margin will fluctuate depends on VIX and volatility but I recommend not to do positional option selling who have less than 10L capital
      And that extra CE Leg you have to buy just 1 lot, trust me if you're choosing any 100 strikes in Nifty (biweekly), liquidity isn't going to be an issue
      You can easily buy & sell
      And do implement it on paper or forward test for few days and let me know your queries after that

    • @vishalamle8330
      @vishalamle8330 5 місяців тому

      @@thetradingscholarr Thanks a lot for all the clarification… will definitely do back and forward test for different VIX and periods…

    • @vishalamle8330
      @vishalamle8330 5 місяців тому +1

      @@AashviNamdev thanks bhai 🙏… lot size change bhul gaya tha me.

    • @jsjinder2186
      @jsjinder2186 4 місяці тому

      @@thetradingscholarr what is approx ROI ON deployed capital

    • @woodsnbricks4078
      @woodsnbricks4078 2 місяці тому

      If someone doesn’t want to take risk don’t come to trading. If you invest in gold you will get 20% risk free returns.

  • @rajputjps
    @rajputjps 6 місяців тому +16

    Another Gem by StockMock., after Calendar spread adjustment by vineet sir! Kudos Nitish bhai👍..Very well explained and articulated by Kundan!

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +2

      Thanks for your kind words Brother 🙏

    • @pranaymahajan172
      @pranaymahajan172 5 місяців тому +1

      Sir can you please share the Link for Callender spread video

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      @@pranaymahajan172 Simply search Samco Kundan, you'll get it

    • @generalpurposechannel1524
      @generalpurposechannel1524 3 місяці тому

      Vineet Bhai ki Calender Spread strategy achhi hai par Bank Nifty main next month ki Buy liquidity nahi hai vishwas naa ho to khud jaa ke Stockmock yaa Opstra pe check kar lo.

  • @nareshagarwal906
    @nareshagarwal906 Місяць тому

    Very well explained: liked the strict discipline in following rules come what may : good podcast by interviewing Kundan : will practice this set up

  • @NothingNew4Now
    @NothingNew4Now 5 місяців тому +2

    I tried to backtest this strategy and for full of 2023 the strategy could not find trade based on the rules given, except for 2023 Dec (1 trade) which resulted in .5% loss.

    • @marketlearner7311
      @marketlearner7311 5 місяців тому

      What uthis strategy not given any Trade

    • @NothingNew4Now
      @NothingNew4Now 5 місяців тому

      @@marketlearner7311 Yeah no trade with the given strategy. Since VIX was low you could not R:R 1:1 with 300 pt difference between ATM - sold call and ATM - sold put for 2023 - other than dec 23 where we had 0.5% SL hit around election results.

  • @kevalkumar9694
    @kevalkumar9694 5 місяців тому +2

    One of the best GEM on youtube, thanks for such valuable and wonderful episode by Kundan Bhai and Nitish bhai.
    Pls make a follow up video for quarries and doubts.
    One complaint with Nitish bhai is 'high interval between 2 videos' please make videos frequently. We really missing such valuable content.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +1

      Thanks a lot for your kind words Keval Kumar ji
      Means a lot🙏🥰

  • @firozQuraishi-t4m
    @firozQuraishi-t4m Місяць тому

    how to calculate probability of profit in option strategy?

  • @dadonwheels2199
    @dadonwheels2199 5 місяців тому +1

    in the slide.. PE side buy mentioned 300-350 away from the sold leg … is that correct or buy leg be only 100 point away from sell leg… confirm plz

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +1

      It was typo mistake, buying leg sirf 100 points dur hi rhega

  • @sripadasanga6244
    @sripadasanga6244 5 місяців тому +1

    Thank you both for the sharing the setup.
    My question - if the setup runs until Wednesday and by 3 pm is near to edge of selling leg, what should be the approach ?
    Cos it may be in 0.5% profit but is near to selling leg and next day a gap up can wipe the profit and give 0.5% to 3% loss.
    Should we strictly follow the rule and take the loss? Or can a stop loss be engaged to resist the loss to 0.5% on gap up / down scenario?

  • @sapnedekho
    @sapnedekho 6 місяців тому +2

    Thankyou Nitish and Kundan. Would love to see Kundan soon with next strategy.❤

  • @govindckumar
    @govindckumar 3 місяці тому

    extra call leg buy thing i didnt understand - can anyone explain ?

  • @ArunVishwakarmaengineer
    @ArunVishwakarmaengineer 28 днів тому

    What a great podcast❤

  • @samirpatel9082
    @samirpatel9082 5 місяців тому +2

    Very nice.. he digested the market

  • @raj-ou8nv
    @raj-ou8nv Місяць тому

    hello boss, i am 60+ years old, ex gulf, now not working, i started trading 4 years ago with little capital and gradually increasing to 35 lakhs, option seller, still my capital is 35 lakhs, not increased till date. what should i do leave this market or continue.

  • @ishannagk2544
    @ishannagk2544 3 місяці тому

    Thanks for doing this podcast . The approach and learning , learnt many new stuff here Kudos to Kundan and stockmock . please call him again !!

  • @win289
    @win289 5 місяців тому +4

    Please keep the speaker window little bigger else looks like listening to ppt
    Thanks for the video

  • @prats2396
    @prats2396 4 місяці тому

    What about IV/vega impact ?

  • @nopanyk
    @nopanyk 5 місяців тому +4

    Attention to details is brilliant … discussion on skew and theta to Vega is insightful. Not often talked about

  • @1681chandan
    @1681chandan 6 місяців тому +2

    Very nice strategy.....thanks for this podcast

  • @ganeshwankhede3329
    @ganeshwankhede3329 3 місяці тому

    StockMock team did you added feature of RR=1:1 ?

  • @anupagarwal5432
    @anupagarwal5432 6 місяців тому +2

    For biweekly there is always difference price difference in buyer and seller price which never reflects in stock mock because stock mock takes OHLC data of one minute while backtesting.... Trust when MTM is 0.5 % while exiting it will be actually 1 % or more

    • @thetradingscholarr
      @thetradingscholarr 6 місяців тому +2

      If you trade 100 strikes and that too in Nifty, I don't think there is any major slippage upto 2 CR, so you shouldn't be worry about slippage
      Trust me, you can execute your order smoothly

    • @coolmonkey5269
      @coolmonkey5269 5 місяців тому

      ​@@thetradingscholarr sir which is best strategy. im confuse

  • @arul8750
    @arul8750 6 місяців тому +3

    thankyou sir
    sir waiting for butterfly from tandon sir part 3
    stockmock is awesome value for me

  • @sangamamk3070
    @sangamamk3070 5 місяців тому +2

    Very deep understanding 🎉

  • @MuraliY2K
    @MuraliY2K 6 місяців тому +3

    Nice Strategy , Thanks Kundan and Nitish ❤❤❤

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      Thank you Murali ji, your appreciation means a lot

  • @pramod_trader
    @pramod_trader 4 місяці тому

    What If black day event's time, big gapup and gap down?

  • @kuljindersingh7939
    @kuljindersingh7939 5 місяців тому +2

    Seems to be good expiry day strategy when you define support and resistance and play in between that area with swings are in control great strategy

  • @Bhakt-108
    @Bhakt-108 5 місяців тому +2

    Lajawab
    Simple but effective

  • @MrMak420
    @MrMak420 5 місяців тому

    If 1:1 rnr is not possible at the time of deployment then which is the next safest strategy to deploy 😊

  • @monishaswani7402
    @monishaswani7402 6 місяців тому +1

    Looks straight and simple. With all the rules followed with discipline, the only parameter that can make this setup a positive expectancy one is winning ratio. For how much time have you backtested or forward tested this strategy? And how much is the winning ratio? Appreciate your articulation of the strategy and all scenarios.

    • @hindubyheart
      @hindubyheart 6 місяців тому

      Positive expectancy is attributable to RR as well apart from Win ratio

    • @monishaswani7402
      @monishaswani7402 5 місяців тому

      @hindubyheart yes that is correct. It is already said in the rules that rr is 1:1, that's why i don't have any questions there. The winning ratio can only be found by backtesting and forward testing, which is not explicitly mentioned in the video, hence the question.

    • @hindubyheart
      @hindubyheart 5 місяців тому

      @@monishaswani7402 SL is 0.5% and Tgt is 1%

    • @hindubyheart
      @hindubyheart 5 місяців тому

      ​@@monishaswani7402 RR as per the video is 1:2 as SL is 0.5% and Tpt is 1%

  • @sunilpagarwal
    @sunilpagarwal 5 місяців тому +1

    Kundanji you are honest to admit that you took biweekely trades through Vivek Bajaj ka show. Good,

  • @aravind9098
    @aravind9098 3 місяці тому

    Very nice strategy sir, i will try this

  • @WaseemAkram-nz4gv
    @WaseemAkram-nz4gv 6 місяців тому +1

    Unfortunately I have noticed one issue with all strategies discussed even before. We are concerned with profit percentage on the capital deployed. Where as shouldn't this be profit percentage on the full capital available unless the person is using 100% capital at all times.

    • @thetradingscholarr
      @thetradingscholarr 6 місяців тому +2

      Yeah you have a genuine point, but as I've mentioned in the video that strategy needs no adjustment, so keeping any surplus money isn't necessary.
      If you deploy 10 lots, it'll require around 2.5L margin, but I'm keeping 3L as position sizing per set, still you'll make 1% easy

  • @dhirajkhanna-thebeardedguy
    @dhirajkhanna-thebeardedguy 6 місяців тому +4

    This is fantastic! I love the adherence to the rules that Kundan follows. Great discipline and trading psychology on display here. Thanks Nitish for doing this. Also like you mentioned, would be great to have the RR feature on StockMock.

    • @thetradingscholarr
      @thetradingscholarr 6 місяців тому

      Thank you so much for your kind words brother
      Means a lot to me
      Grateful 🙏❣️

  • @radeyshyam2918
    @radeyshyam2918 19 днів тому

    how can i link with zerodha

  • @TechelperAjit
    @TechelperAjit 5 місяців тому

    Please add Stock option also

  • @prashob131
    @prashob131 4 місяці тому

    What to do if the market at 3pm is near to your put or call sell leg (lets assume 50 points) , should we hold the position for next day ?
    @thetradingscholarr

  • @zeromeans1
    @zeromeans1 5 місяців тому +1

    Dear sir, thanks for motivation. But I challenge one thing that every week nifty moves 300 away, in this case evey time you have to take exit, since it will touch your breakeven , once you check sir, i am doing iron codor but with adjustment since three years

  • @sanjayshah2800
    @sanjayshah2800 5 місяців тому +2

    Sabse best video ❤

  • @lokeshgiri9302
    @lokeshgiri9302 5 місяців тому +1

    It is impossible that there is more decay in biweekly than in weekly. Time value of the options contract is directly proportional to the square root of time left. Whatever decay happens in the entire 14-7 days (sqrt(14)-sqrt(7)=1.1, just the expiry day will have almost the same amount of decay (1)

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      I know this formula, in % terms theta is more in weekly options, but in absolute terms there will be always more decay in Bi weekly options, if you don't agree let's bet for something and discuss on zoom, ready?

    • @lokeshgiri9302
      @lokeshgiri9302 4 місяці тому

      @@thetradingscholarr Hi there, I'd love to have a chat on this, we can compare actual premiums and find out the actual decay. Lets catch up, leave a way how I can contact you, may be DM helps

  • @monishaswani7402
    @monishaswani7402 5 місяців тому

    Since you said US markets, would this also work in ES mini or NQ options?

  • @MitulJainmitj1202
    @MitulJainmitj1202 4 місяці тому

    safe IC + 10% ce leg buy to help with get skew: strategy is SL0.5% & TP1% without waiting for expiry. Deploy only if getting 1% in 600 points range & cut when reaching sell leg. Backed by data that in 2 week's expiry, 70% theta is expires in 1st week remaining 30% in near the expiry day.

  • @gaganahuja9613
    @gaganahuja9613 6 місяців тому +2

    Kundan Sir ❤ Awesome knowledge

  • @startupworld497
    @startupworld497 6 місяців тому +2

    Simple but super

  • @TajinderSingh-wl8ku
    @TajinderSingh-wl8ku 5 місяців тому +1

    Sir position kaise exit karenge sari

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      Market order exit kr skte ho, koi issue ni aayega

  • @adiyabhandari4665
    @adiyabhandari4665 5 місяців тому +2

    Excellent; pl make 2nd part for Pair trading or Ratio

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +2

      You can check my Samco latest podcast there I've shared my Ladder strategy

  • @generalpurposechannel1524
    @generalpurposechannel1524 3 місяці тому

    Kundan bhai kya yeh Strategy Zerodha main Chalegi kyunki Zerodha wale jo Far OTM ki 1 Single leg Buy nahi karne dega.

  • @altafrehmatwala5531
    @altafrehmatwala5531 5 місяців тому +3

    Please make a video with Kundan on BATMAN Strategy and it's Adjustments.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +2

      I've already shot with Rohit Katwal yesterday, Monthly Batman Strategy will be live on 2nd august

  • @profitcart
    @profitcart 5 місяців тому +2

    Very good podcast...learn lot of things.....Vineet sir butterfly session lao bhai....

  • @samradalpha
    @samradalpha 4 місяці тому

    Please do more simple setups!

  • @eAuctionZ.
    @eAuctionZ. 5 місяців тому +3

    just fantastic

  • @shaperabrasives7290
    @shaperabrasives7290 5 місяців тому +1

    Instead of 300 point aways rule. Please give interms of delta of strike price. Points wise rule is absurd

  • @PradeepSingh-ss8iz
    @PradeepSingh-ss8iz 6 місяців тому +3

    very conservative strategy . thnxxx

  • @vijaymaurya4688
    @vijaymaurya4688 6 місяців тому +2

    great podcast.

  • @kushalpatel8658
    @kushalpatel8658 4 місяці тому

    3rd profitable trade , carried into 2nd week. It should have been exited on Friday .

  • @PankajYadav-qf7sb
    @PankajYadav-qf7sb 5 місяців тому

    600 points range and 1:1 RR both are not possible to get when premiums are low

  • @snagare7878
    @snagare7878 3 місяці тому

    Pretty nice focus on Risk, kudos to the descipline. The rules are broken twice in the examples, range was bigger, not as per range rule and exit was extended, not as per Exit rule.

  • @arunbohora1047
    @arunbohora1047 6 місяців тому +3

    sirji one correction in trade set up buy 10 lots of put 100 points away from sold leg instread of buy 10 lots of put 300-350 points away from sold ledg(at hedge side)

    • @thetradingscholarr
      @thetradingscholarr 6 місяців тому

      Yes that's a type mistake, thanks for correction 🙏

  • @Kksubba
    @Kksubba 6 місяців тому +10

    This is nice strategy with very less MTM which helps to keep the psychology intact….. but i have few questions:-
    1) Capital required is close to 2.6 lakh but how much capital is required to be kept for margin requirement so broker do not close our trade.
    2) What if there is huge IV spike due to big gap down…because the t+0 line will move down.
    3) You need to have other strategy along with it other wise it is very difficult to get 30% return in a year. What is its accuracy??? Because even if you are profitable 50% of the time and you trade 52 weeks in a year you will make 13% only in a year…

    • @prashanthireddy9381
      @prashanthireddy9381 5 місяців тому

      yes need bacttested data

    • @Kindzora
      @Kindzora 5 місяців тому

      Bilkul sahi baat .. pehli baat 50% time to 1:1 nhi milta, agar milta bhi hai to 50% to Stop loss hit hota hai...

    • @generalpurposechannel1524
      @generalpurposechannel1524 3 місяці тому

      1) Keep approx 1 Lakh more for margin requirements, jaisa ki Kundan ne Video ke shuru main bataya hai G-Sec main paisa rakho usme saal ka 7.3% Interest aayega aur wo G-Sec ko pledge kar ke trading karo.
      2) Gap Up Gap down 1.5 to 2 % pe bhi Max loss 1% hi hoga jaise ki Kundan bhai ne is Video main bhi bola hai.
      3) Dusri Strategies karna achha hai but agar is strategy ka ration bhi 50% pakdo to 26 hafte -0.5 se loss to total loss is -13.5% aur 26 week ka 1 % Profit 26%-13.5%= 13.5% yearly Profit aur 7.3% G-Sec Interest so saal ka 20% koi bura nahi hai bade capital pe.

    • @Financial_buzz
      @Financial_buzz 3 місяці тому

      Bhai isse accha to Mutual Fund me invest kar do small cap me ....20% easily mil jayega😅

    • @generalpurposechannel1524
      @generalpurposechannel1524 3 місяці тому

      @@Financial_buzz 20% to nahi long term main 15% pakdo to itni magazmaari karne se to achha hai.

  • @gurudjain060607
    @gurudjain060607 6 місяців тому +3

    Thanks

  • @UP61WALA.
    @UP61WALA. 5 місяців тому +1

    Nice kundan sir ❣️💯

  • @Bumba007
    @Bumba007 6 місяців тому +3

    Yah Sir bahut hi badhiya hai❤❤❤❤❤❤❤❤❤❤🎉🎉🎉🎉🎉🎉🎉🎉🎉🎉

  • @venkateshdhayal1888
    @venkateshdhayal1888 2 місяці тому

    good one

  • @maheshgupta5378
    @maheshgupta5378 3 місяці тому

    Hopeless Strategy , Reply what if it opens Gap Down as you are simulating by 15 mins, you can do adjustments, but if it closes near to the range and opens Gap UP/Down thn straight 2% ka Loss ....So kindly change the caption 05% Loss strategy

  • @manupandit3864
    @manupandit3864 2 місяці тому

    This should work in new options regime

  • @1122dhaval
    @1122dhaval 5 місяців тому +1

    Bhaiya ... MKT me naye hi kya??? Fri- Sat me jya theta decay hoga? Kisne kaha ???
    Bhai MkT me kahi pe bhi easy money nhi hai ..... Yeh naye bacche log sochate hai k Sat-Sun theta decay jyada hota hai ....

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      To aap btaiye sir ki saturday sunday , 2 din k liye theta ni aata kya?

    • @1122dhaval
      @1122dhaval 5 місяців тому

      @@thetradingscholarr bilkul nahi... Aisa hota toh sab straddle aur strangle bech dete

  • @snehashismondal7199
    @snehashismondal7199 5 місяців тому +2

    This will work only when iv is high with big premium

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      Yes
      It is right that it works beautifully in HIGH IV scenario, but practice it so that in high IV you can trade this

  • @samradalpha
    @samradalpha 4 місяці тому

    Please make some strategy videos with Nifty using leaps strategy.

  • @Bodhi_Vriksha
    @Bodhi_Vriksha 4 місяці тому

    Strategy looking good, but Liquidity in bi weekly is a concern. One can not easy to deploy for this for exact 1:1

  • @randomness123-n2u
    @randomness123-n2u 5 місяців тому +1

    Implement feature of 1:1 in stockmock

  • @prabirjana304
    @prabirjana304 5 місяців тому +1

    Awesome

  • @azzuvlog5350
    @azzuvlog5350 6 місяців тому +2

    gurudev ❤❤💎🙏

  • @nataliashfak
    @nataliashfak 5 місяців тому +1

    Sleepage and brokerage count karo

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      Slippage ni hota jyada, and there is just 4 legs (total 8 order) for one week
      I don't think jyada hoga

    • @generalpurposechannel1524
      @generalpurposechannel1524 3 місяці тому

      Total 10 legs buy & sell approx 300 will be Brokerage

  • @BalaramMondal-ei8sw
    @BalaramMondal-ei8sw 4 місяці тому +1

    #Attention @Stockmock_creator
    Dont try to fool public .
    3rd trade show profit 1.7% profit on 3rd june monday but trade strat date was 24th May friday . Holding limit as per the strategy will next Friday that means 31st may . But in that podcast exit will be in 3rd june 😂😂😂 what rubbish is this ......
    Rule is getting changed because of not profit 😂😂😂

  • @Mitlucky7
    @Mitlucky7 5 місяців тому +1

    Sir inko phir se Lao naye set up se sath sahi me a to holygrail hai koy mane ya na mane par me to manuga
    Hats off 👏 you
    Phir se lana aapki jimmedari hai😅

  • @thevisualjockey4070
    @thevisualjockey4070 5 місяців тому +1

    Brilliant

  • @ggchavhan
    @ggchavhan 5 місяців тому +1

    BUT AT ACTUAL SIDE WHEN YOU TAKE REAL TRADE YOU DONT GET 1:1 R/R

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +1

      If INDIA VIX is above 13, you can easily get 1:1 RR in 700 points range, Stockmock has simulator feature you can use and check
      And yes you'll get 1:1 RR for sure
      Try it once

  • @Babytabassum473
    @Babytabassum473 5 місяців тому

    Nice video, We want another podcast with arshit .

  • @kundankumawat4926
    @kundankumawat4926 5 місяців тому +2

    My name is also kundan I am also a trader😊😊

  • @prabirjana304
    @prabirjana304 5 місяців тому +1

    Bring Kundan sir 2nd time must

  • @fzlsayed
    @fzlsayed 3 місяці тому

    28:02 Strategy Starts at... Thank me later.

  • @pushprajsingh5165
    @pushprajsingh5165 5 місяців тому +1

    सर यह फीचर डाल दीजिए कि रिक्स रिवॉर्ड देने पर डिस्टेंस बता दे स्टॉकमाक

  • @Saravanatrading
    @Saravanatrading 5 місяців тому +1

    Make in english or pls add subtitles

  • @Financial_buzz
    @Financial_buzz 3 місяці тому

    Agar market middle me he or condition thik he to 1% se jyada profit milne ki oppertunity mile to kyu chorna .

  • @gujarvishal
    @gujarvishal 5 місяців тому

    NICE SIR..
    WATING FOR BUTTER FLY TONDON

  • @aaditysinha8369
    @aaditysinha8369 6 місяців тому +2

    Vineet sir ko ek baar aur bulao 😂😂

  • @fnotrade
    @fnotrade 4 місяці тому

    Iron condor rocks

  • @markl69
    @markl69 5 місяців тому +1

    No one buys 10 lots in America (small retail traders). Please don’t promote this strategy. Small folks could lose big if the move is sudden on unhedged side.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому

      So which non directional strategy will not give me loss if there is big sudden move, I'm waiting for your reply

    • @markl69
      @markl69 4 місяці тому

      @@thetradingscholarr you have lots to learn to teach

    • @monishaswani7402
      @monishaswani7402 4 місяці тому +1

      Which is the unhedged side here? Both sides are hedged here.

  • @maheshgupta5378
    @maheshgupta5378 3 місяці тому

    Narang Sahab , You need Lot to learn try watching Vivek Ji"s F2F , and than make your Podcast🤣

  • @realisticworld-bp8ju
    @realisticworld-bp8ju 2 місяці тому

    2.60 lac mai 1 percent to stock he de dega😊

  • @naturesound.5319
    @naturesound.5319 5 місяців тому

    👍

  • @njpany1884
    @njpany1884 4 місяці тому

    When you tuber can't answer that means don't relai on them....

  • @sunilpagarwal
    @sunilpagarwal 5 місяців тому

    Yaar all said and done,26 minutes h6i Gaye abhi strategy start nahi hua. Dear ye kahani wo kahani, log ye kehte, log wo kehte hai. Keep it short. If you want to increase your viewership please cut things short. Believe me.

  • @fimbird
    @fimbird 6 місяців тому +2

    Show this person's ITR so we know how much profit he made with this strategy.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +1

      Dear Firoz I'm open to share my last 2 year PnL, but i've never said that i trade only this strategy, i trade more than 20 strategy depends on market dynamics
      And if you think it's not profitable, can you do forward testing for 3 months on paper, and share Trade report?
      I'll take down this video if data isn't positive and share my PnL as well, Deal???

    • @fimbird
      @fimbird 5 місяців тому

      ​@@thetradingscholarrBother tum pehle trader ho jo 20+ strategy use krta hai market mai 😂

    • @Nikhil.bisht.
      @Nikhil.bisht. 2 місяці тому

      @@thetradingscholarr I like your confidence

  • @Cosmochill-il7pt
    @Cosmochill-il7pt 6 місяців тому

    Better to backtest with python

    • @dhirajkhanna-thebeardedguy
      @dhirajkhanna-thebeardedguy 6 місяців тому

      Is there any API available through which you could do this?

    • @Cosmochill-il7pt
      @Cosmochill-il7pt 6 місяців тому +1

      @@dhirajkhanna-thebeardedguy without backtest results, it is dangerous. But manual backtest is also possible if you cannot code,

  • @dadipariwarindia3324
    @dadipariwarindia3324 3 місяці тому

    Time pass ke liye badhiya hai,,, 2.5L laga ke bhi loss book,,,

  • @arunbohora6365
    @arunbohora6365 6 місяців тому

    Sirji it takes 82 lots brokerage+other charges is 1900 deploy capital 260000 profit. 2600 it is actually 700 which is 1% annually 12%
    No loss is calculated.

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +2

      First of all there are brokers like Finvasia, Kotak Securities who charge 0 brokerage and even SAS Online charge monthly 999 brokerage, and above all you're executing only 8 orders in week so i don't think any trader punch less than 10 orders in a week.
      so if you practice this strategy and you get profit which i believe that you'll
      Then brokerage should not be the issue, and charges are fixed expense if you increase capital upto 15-20 L profit ratio will be high
      I hope it makes sense to you now

  • @aaditysinha8369
    @aaditysinha8369 6 місяців тому +2

    Bhai ye kisko laaye ho ...time waste vineet tondon sir ko bulao😢😢😢

  • @rahulsaha7713
    @rahulsaha7713 6 місяців тому

    Agar over night a geya too !! Morning mY to Katt lunga !!

  • @dineshalagh9722
    @dineshalagh9722 6 місяців тому +1

    All through the year 2023 vix was very low then we wouldn't be able to trade at all and yu will sit with only 7 percent ROI from your Gsec bonds only and enjoy life with your silly and misleading podcasts.You can fool a few people but not everyone. There are lot better setups then your silly and impractical setup.

    • @thetradingscholarr
      @thetradingscholarr 6 місяців тому +4

      If you think one strategy works in every market scenario, then you should work on your mindset, you must be having multiple setup to do a full time trading so that you can deploy trades depends on the situation and make consistent money
      I trade more than 20 setups but in different market conditions
      And as I've already said in the video that if all rules are satisfied, then it can generate consistent returns
      But if there are scenarios, where conditions aren't meeting, deploy different strategy
      Expand your horizon rather than criticising without any base
      All the best

  • @RahulKumar-mf7nu
    @RahulKumar-mf7nu 6 місяців тому +2

    Bekar podcast

    • @thetradingscholarr
      @thetradingscholarr 5 місяців тому +1

      Dear Rahul ji, can you please elaborate why did you say 'Bekar Podcast' what you didn't like?
      if you think this strategy isn't profitable then please prove with factual data i'll take down the video.
      If it's not about the profitability of the strategy, please explain other aspects too so that i can improve myself
      Waiting for your reply

  • @innocenthumans3721
    @innocenthumans3721 5 місяців тому

    Not that good strategy