Can BankNifty and NIfty crash again on the last day of Options Expiry (tomorrow) or they might rebound?
How can we approximately predict this scenario?
Since BN, and Nifty have been volatile and crashing since the past few days.
Secondly,
We book a carry forward option (say CE) – currently its 1000 in profit and after 7:30 AM tomorrow its 1250-- what does it imply?
Conversely if its 1000 in profit and showing 250 loss after 7:30 AM tomorrow, what should we imply?
Can anyone explain please?
Regards