I have a view that market will be close to 24500 in the next 2 months . What would be a good way to trade this hypothesis ?
- MTF position of 20lacs
- Call spread with similar exposure 23200 buy and 24500 sell .
Won’t end up with a margin call , as I can sell some of my debt funds and fund margin shortfall if a need arise.
Experience positional traders, can do with your inputs ?