the biggest draw back of this stratjee is the vega as the far month option have the large vega compared to the near month also in this startjee you told to establish at a time when the volatility is large in far month expiry so if there is slight drop in the IV of the far month of that strike there will be large M2M loss due to large vega of far month.
@anandradhakrishnan13028 ай бұрын
Reading all these comments, I am astounded at the level of knowledge people have in being able to understand and point out the fallacies in the teaching.
@MrShouvanikdas10 ай бұрын
Best is sell only on every expiry day and get 0.5 - 1.5 % of the capital everyday....everyday is a expiry --- bullish or bearish or no view (make a iron condor) that is all.
@abhidev410 ай бұрын
I do the same and earn around 3% every week of my capital. Last month I gained around 12%.
@MrShouvanikdas10 ай бұрын
take 1% everyday - 20 -22% per month @@abhidev4
@anandradhakrishnan13028 ай бұрын
@@abhidev4can you share few details?
@anandradhakrishnan13028 ай бұрын
You take the trade the day before or on the day of expiry?
@punjabibong7 ай бұрын
@Shouvik @ Abhi - How did you manage the recent Spikes (as we now know it was probably done by the two Hedge Funds in US), as in almost everyone is effected …. So just asking how was it for you both ?
@imranmulla4310 ай бұрын
Sir, few things: 1. Though it may need final margin of 35,000/-, to execute this strategy it will need more money. 2. As per Selling rule, one need to first buy the option = 1150 * 50 for Jun Put, this translates to 57,500/-, this one need to have in his account. 3. To Sell Feb Put, one will need to pay extra margin apart from long position bought in step 2, this may go up to margin + premium collected. 4. Overall I believe, to execute this strategy one will need at-least 1+ Lakh, anyway one will be accumulating sold premium next day
@manavrupareliya174110 ай бұрын
1.39 L margin required....
@HarshPawar-iq9zg10 ай бұрын
Imranmulla sir plis give more information as per the rules first we should buy ex if we bye any option 1000*50 total 50k it means we need 50k + Required margin
@madhusudhanbharech930610 ай бұрын
If market falls, current month will give loss with delta 1 , while buy June month will increase very little. The actual loss can be 10k per lot, which is 30% of capital.
@coolmonkey526910 ай бұрын
@aaum159310 ай бұрын
yah correct...
@anandradhakrishnan13028 ай бұрын
Whatever strategy you use, without adjustments when market shifts you are going to lose big sometime soon.
@builcons10 ай бұрын
Today shorted JUNE 23000PE @ 1142(Now 1095) and bought DEC 23000PE @ 1125(Now 1101). So today profit Rs1148/-. Margin requirement was Rs 40000 approx
@VijayKumar-fz8ul6 ай бұрын
How do you get same strike price for different expiry with almost same price!! That's my biggest question
@saarassc10 ай бұрын
You are like a Doctor saying "benefits are outweighing the side effect" this strategy gives a new perspective.. Very nice, now that the market would fall from 22100 level to 20500 between Jan 19, 2024 to Feb 23, 2024 I'll test this.
@sasikumarnair632610 ай бұрын
After admitted to ICU, doctors are giving hope that may be come back. Some doctors saying that intimate whoever wants to intimate except myself...😁😁😁
@naveensidana56237 ай бұрын
Sirji it is necessary That trade shd be in credit generally I see trade is adebit trade can we adjust the strike to maintain credit strategy
@suhasnr605310 ай бұрын
Do you think is it right time to place this strategy when nifty 21300 as of 25th Jan 2024. I request you to comment on this request.
@sriramranganathan80710 ай бұрын
Sir, how come the margin is low. May it was put incorrectly ?
@softwaregyan992110 ай бұрын
Hi sir,i have zdoubt ghat if market goes down very speedg or 1000,2000 thousand point then wd would have to add more margin or not,please tell me.
@shaibalparial57999 ай бұрын
Is similar option is applicable to call side.
@VijayKumar-fz8ul6 ай бұрын
How do to get same strike price for different expiry with almost same price!! That's my biggest question 🤔🤔🤔, pls clarify me
@singhvlogger140710 ай бұрын
Sir can you make videos for US markets as well?
@hiralzaveri93655 ай бұрын
Sir, could you please explain how to calculate max loss 4-5k in this strategy?
@mindrajeet860310 ай бұрын
Wait sir expect correction 4% between Jan 15 to feb 15
@inthiyazbaba636510 ай бұрын
This is not working on real market, stock on our own strategy sir.😊
@AG_MAG10 ай бұрын
Good strategy. But based on one event or sentiment, the whole plan cannot be designed.
@devsair10 ай бұрын
Thank you very much for giving your strategy free
@Prabhakondalkar10 ай бұрын
Sir , you suggested 24000 PE for June ! at my end its showing complete NIL volume ..illiquid yet ! OI is zero only ! How do we go about this ?
@venutube57916 ай бұрын
Yeah. This the issue. He once told to go for far expiry series, 12 months. But there was no liquidity. I don’t know if he referred to different chart or not Or wherever he says, there would be liquid.😂😂😂😂😂
@piyushbansal43279 ай бұрын
Sir, IV of far options is always higher than near options. That is the reason for calendars being vega positive.
@bkundan1510 ай бұрын
Sir We need more clarity on semantics of pcr, iv, etc. Variables that decides profit and risk
@Sampath277410 ай бұрын
Hi Sir please give your valuable suggestions on Praveg stock Thanks in advance
@AntiJihadi10 ай бұрын
Zerodha shows 59k final margin required....
@Knowledgeskillsidea10 ай бұрын
i purchased recently launched Intraday Options Strategy using Technical Analysis, but it doesnt give any additional value. we have better courses availably in this price range. Please think over it.
@studentakhilarts385910 ай бұрын
No strategy will make money Only a strangle will make with using support and resistance and adjustments will save with SL
@Pankajyadav-rf2bl10 ай бұрын
Iv is high for far month and low for near month how come both the strike prices have almost same last traded price. 🤨
@worldofarhaanchaudhary-78610 ай бұрын
Suggestions on Apollo pipe and capacite infra for tomorrow...
@Finstory3-524610 ай бұрын
There is a big mistake in table how Feb and Jun month 23000 PE price may be equal😂😂😂😂😂😂
@shivammaheshwari55198 ай бұрын
long term put options will always be cheaper due to inr depreciation and considering annual nifty growth yearly.
@vimalji.rkadakkal902210 ай бұрын
Feb 1 ..budget
@lakshmipolukonda917610 ай бұрын
Thanks for your knowledge sharing sir.
@srinivasgoula953710 ай бұрын
Sir, often use low margin on option selling what app u use? Anyone have any idea please let me know
@joeljjoelj10 ай бұрын
very very rare for both premiums to be equal ....eg like on Jan 1 , though I dont see Feb 23000 p near 1150
@karvan1019 ай бұрын
That's not possible!
@rajap904310 ай бұрын
When you post in Twitter last week in paper trade I am following the premium it is awesome sir
@ettappana543410 ай бұрын
It is impossible,How it could be Feb and June month same strike equal price.Check the prices. Long term high IV means should be a higher price.
@mymissmisthi939210 ай бұрын
Sir you make this video for more liquidity
@anbu210010 ай бұрын
I have opened IBKR account successfully today soon will start trading us market sir ,hopefully give us usefull tips ,weekly market direction 😊😊😊😊😊
@SivaKumar-ps8rs10 ай бұрын
Can we trade from India
@RamkumarTraders10 ай бұрын
Thanks
@sasikumarnair632610 ай бұрын
For stating that market next week would be 21500 to 22200, we got one video dalal street next week 😂😂😂😂
@bharathkrishna677610 ай бұрын
Thanks for sharing this sir 🎉 Will definitely implement & test. A question that comes to mind is, should we book profits intermittently & redeploy this strategy or should we hold until the month of June to book profits? A reply would be much appreciated!
@parimaldevnath-f6b10 ай бұрын
these strategies dont work-- they involve heavy capital and lots of brokerages
@rajeswariv271810 ай бұрын
Should book profit,,,, he is telling this for only 10 trading sessions,,,, so should book the profit
@sasikumarnair632610 ай бұрын
@@parimaldevnath-f6b I.e. it's not cup of our coffee ☕
@rchrsolutions787910 ай бұрын
Sir, June 23000 pe LTP is 720, not 1146 as mentioned in excel sheet. 1146 is LTP of 24000pe, Please check once.
@zaff00310 ай бұрын
You're wrong.. check June 2023 pe .. It's 1146/-.. Correctly mentioned by prS
@rchrsolutions787910 ай бұрын
As per my understanding we need to check 23000 pe of June and Feb 2024.
@hemantckulkarni213310 ай бұрын
Good evening sirji
@rammittal568310 ай бұрын
Good strategy and nice video. Koti-Koti Naman.
@pavithraudhayakumar74869 ай бұрын
What if market falls drastically
@Trade4profits10 ай бұрын
Thanks for sharing sir.
@vadiyargopi33910 ай бұрын
In Upstox it's asking 1 lakh to implement this strategy....
@AnandSingh-lk4vk10 ай бұрын
Thanks sir
@shaibalparial579910 ай бұрын
Excellent Sir.
@ramsekar5610 ай бұрын
Sir, it seems this is a theoretical strategy. OI for Feb 23000 PE is only 1257. OI for June is NIL. Then how one can take such trades. Please explain.
@rajasubramanian203510 ай бұрын
It is possible only in theory. Please don't take it seriously❤
@ramsekar5610 ай бұрын
He is spending his time and teaching us. We are spending time and seeing the videos. We should not pass such comments and hurt a person. No one is to gain from it. My humble request. If his team sees the comment, they will answer. I can learn from it. I am not young. I am 66 year old. Age is not the restriction for learning
@dinakprasa10 ай бұрын
Good one sir ..thank you
@karuppiahmani812510 ай бұрын
Thank you sir
@Sa7hish10 ай бұрын
Thanks for the video sir❤
@shaktivandas243610 ай бұрын
Hindi me bhi course h kya sir
@KareemSait10 ай бұрын
Sir, the vibrant Gujrath affect had all the punters there to keep their man happy.
@md8uniya68410 ай бұрын
If IV was high for june month how it will be a wise choice to go long. Im little bit confused, sir you told far month IV is high so we bought far month, what if iv decreased??? Usually we sell when IV is high right?? that credited amount will be the profit if everything was usual.
@madhavanrajammasatheeshcha849510 ай бұрын
Jm
@Technicaldubeyjisushil10 ай бұрын
Maths teacher who show their Skills . Just like compounding 😂
@arunprasad91810 ай бұрын
Sir ji make it always simple
@rupeshn100410 ай бұрын
Excellent educational content
@mahendraneelannavar467010 ай бұрын
I started to sell option now I'm getting little bit profit, making profit in option buying is next to impossible I think.
@BOTxNARUTO10 ай бұрын
😂 haha lol
@BOTxNARUTO10 ай бұрын
Nothing is impossible
@anandrbhandage98310 ай бұрын
And also you can use margin against Securities for this kind of trade. No cash or cash equivalent is required for same day expiry trades.❤
@raj-vt1uf10 ай бұрын
Sir i r great👏👏👏👏 🙏🙏🙏🙏🙏🙏
@sekarramaswami654310 ай бұрын
Excellent Sundar sir,you are genius.god bless you
@sivaprasadp637410 ай бұрын
Thank you sir. Definitely sir.
@Harita34710 ай бұрын
I think i am watching rocket science.
@sahotainfo8 ай бұрын
Nice
@y.krishnamohan191510 ай бұрын
this is real wisdom. long live sunder sir,
@shrikrishnasawant405110 ай бұрын
Very good strategy
@satyanarayan406710 ай бұрын
I have tried but only to my disappointment I stil lost
@karvan1019 ай бұрын
How can Feb & Jun same strike, PE price is approximately the same??? Why are you fooling the people, man!
@ankitagarwal26038 ай бұрын
❤❤❤❤❤❤❤❤❤
@TruptiSarda-mp4zv10 ай бұрын
What nonsense is this This can never be a credit strategy... How can 23000 pe option of june month be priced at less than feb month 23000pe Mr pr sundar you have collected wrong data you need to revisit your concepts
@rkshbatra210 ай бұрын
❤
@suseeraj10 ай бұрын
Sir Option is good. But we cannot make money in Option writting.
@Jfirdufufit3uf10 ай бұрын
There is no strategy u have tiz a big strategy 😂
@pnsellvananth113110 ай бұрын
Thanks for your excellent analysis
@sagarraut771110 ай бұрын
but this is a worskshop strategy na sir ...
@rupesh.biz000810 ай бұрын
VMS industry & DMR hydroengineering are the two multibagger 💹 potential 5X