Hello I have found one long term nifty option trading strategy which I feel its good but I have not back tested if u can find any loop holes in this strategy then please read and let me know so heres the strategy
Let's assume nifty March expiry closed is at 9000 at time of expiry day we have to buy call or put or both
Now if suppose we buying call so we have to buy call of 9400 for April month there should be 400pts diff if put then 400 pt downside so u will get this call around 20rs buy 1 lot that is 75qty so if u want to get out in profit nifty hv to move more then 400pts in that month itself otherwise its going to be zero
Now lets assume in April it became zero now acc to April month expiry buy call of more than 400pts may month whose price will be around 20 buy 75qty say data also gone zero now buy next month call but now double ur qty dat is 150 den next month again 150qty den next month 300qty Next month 300qty again like dat keep on doing in any given month market gives movement of 500 plus u will earn
Dats the strategy's u can do call and put both as per ur investment
Please give ur feedback Wat u wanna say about this strategy ny loopholes if u find or whole strategy u find it wrong for sum reason let me know
Let's assume nifty March expiry closed is at 9000 at time of expiry day we have to buy call or put or both
Now if suppose we buying call so we have to buy call of 9400 for April month there should be 400pts diff if put then 400 pt downside so u will get this call around 20rs buy 1 lot that is 75qty so if u want to get out in profit nifty hv to move more then 400pts in that month itself otherwise its going to be zero
Now lets assume in April it became zero now acc to April month expiry buy call of more than 400pts may month whose price will be around 20 buy 75qty say data also gone zero now buy next month call but now double ur qty dat is 150 den next month again 150qty den next month 300qty Next month 300qty again like dat keep on doing in any given month market gives movement of 500 plus u will earn
Dats the strategy's u can do call and put both as per ur investment
Please give ur feedback Wat u wanna say about this strategy ny loopholes if u find or whole strategy u find it wrong for sum reason let me know
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