Hi,
I have following stock on my watch list for F&O for December, 2017 :
- RCOM
Considering the volatility in the stock and assuming one has mildly bullish expectation, what would be preferred strategy:
(1) - Long 12.50 CE @ 0.85; Short 15.00 CE @ 0.35 OR
(2) - Long Futures @ 12.35;Long 10.00 PE @ 0.40; Short 12.50 CE @ 0.85
(3) - Long Futures @ 12.35;Long 10.00 PE @ 0.40; Short 15.00 CE @ 0.35
(4) - Long Futures @ 12.35;Long 12.50 PE @ 1.10; Short 15.00 CE @ 0.35
(5) - Short 12.50 PE @ 1.10; Long 10.00 PE @ 0.40 (1.5 Lot for every Lot of PE shorted)
(not a trading recommendation, just a paper trade)