sir, where you see iv live of the stocks,
Sensibull in the tools screener
When Sell Side of CE option gets SL Hit ( 2 times Premium say 20 Rs) then shall we go further OTM on call side again and Sell premium with 10 Rs and Buy rs 2 ? Is this understanding correct ? If yes then we should also rollover PE side Spread to higher strikes by Squaring off the original Put Sell/Buy position ? If Yes which quantity should be doubled on call Side or PE side new Positions ?
awesome, what is the capital deployed by you?
all those things are correct i will double quantity on gaining side that means if call is loosing side means i will double the quantity on put side
Bro, when does Theta starts to come into play the most for weekly index options?
from tuesday noon , it decays fast.
OK thanks. So this is intraday strategy on Weekly Expiry day ? Can this also be used a day before expiry and carry the position overnight until Expiry day??
one day before u can take a position
I’ve shorted BN 29700CE Option, what will happen if option stays OTM and I don’t square-off the position at the end of the day?
no problem leave it exchange will setteled tmw u will get back margin amount
What if my product type is MIS?
Zerodha will square off
Extra rs. 20 . Others don’t know
When you know what to do, Options trading is easier than trading stocks, especially on expiry day.




