Hi All, Please note my previous posted June strategy didn't worked , We had loss of 40-50 point
Going to post Multiple strategies :
Bullish strategy Following is strategy number 2:
Buy JULY 10800 call 1 lot 78 ---- Net debit is 78 Sell JULY 11000 call 2 lot @ 24 ----Net credit is 48 since selling
Sell JULY 10000 put 2 lot@ 14 ---- Net credit is 28 since selling Buy JULY 9800 put 1 lot @ 7.5 -------(This cheap insurance in case of disaster , Never skip this) --- Net debit 7.5
Overall net debit 78-48-28+7.5 = 9.5 Rs
please note the ratio , dont disturb ratio for call is 1 buy : 2 sell for put is 2 sell : 1 buy
So if Nifty July closes below 10800 we stand to loose 9.5 rs i.e approx 725 rs
You can put in above strategy as per above given ratio according to your capital , Please note the risk
Target profit and stop loss zone marked on chart.
Cheers.
ノート
Risk of capital loss involved , Consult your financial adviser