OPEN-SOURCE SCRIPT
Trading Capital Management for Option Selling

Trading Capital Management for Option Selling
This Pine Script indicator helps manage trading capital allocation for option selling strategies based on price percentile ranking. It provides dynamic allocation recommendations for index options (NIFTY and BANKNIFTY) and individual stock positions.
Key Features:
- Dynamic buying power (BP) allocation based on close price percentile
- Flexible index allocation between NIFTY and BANKNIFTY
- Automated calculation of recommended number of stock positions
- Risk management through position size limits
- Real-time INDIA VIX monitoring
Main Parameters:
1. Window Length: Period for percentile calculation (default: 252 days)
2. Thresholds: Low (30%) and High (70%) percentile thresholds
3. Capital Settings:
- Trading Capital: Total capital available
- Max BP% per Stock: Maximum allocation per stock position
4. Buying Power Range:
- Low Percentile BP%: Base BP usage at low percentile
- High Percentile BP%: Maximum BP usage at high percentile
5. Index Allocation:
- NIFTY/BANKNIFTY split ratio
- Minimum and maximum allocation thresholds
Display:
The indicator shows two tables:
1. Common Metrics:
- Total BP Usage with percentage
- Current INDIA VIX value
- Current Close Price Percentile
2. Capital Allocation:
- Index-wise BP allocation (NIFTY and BANKNIFTY)
- Stock allocation pool
- Recommended number of stock positions with BP per stock
Usage:
This indicator helps traders:
1. Scale positions based on market conditions using price percentile
2. Maintain balanced exposure between indices and stocks
3. Optimize capital utilization while managing risk
4. Adjust position sizing dynamically with market volatility
This Pine Script indicator helps manage trading capital allocation for option selling strategies based on price percentile ranking. It provides dynamic allocation recommendations for index options (NIFTY and BANKNIFTY) and individual stock positions.
Key Features:
- Dynamic buying power (BP) allocation based on close price percentile
- Flexible index allocation between NIFTY and BANKNIFTY
- Automated calculation of recommended number of stock positions
- Risk management through position size limits
- Real-time INDIA VIX monitoring
Main Parameters:
1. Window Length: Period for percentile calculation (default: 252 days)
2. Thresholds: Low (30%) and High (70%) percentile thresholds
3. Capital Settings:
- Trading Capital: Total capital available
- Max BP% per Stock: Maximum allocation per stock position
4. Buying Power Range:
- Low Percentile BP%: Base BP usage at low percentile
- High Percentile BP%: Maximum BP usage at high percentile
5. Index Allocation:
- NIFTY/BANKNIFTY split ratio
- Minimum and maximum allocation thresholds
Display:
The indicator shows two tables:
1. Common Metrics:
- Total BP Usage with percentage
- Current INDIA VIX value
- Current Close Price Percentile
2. Capital Allocation:
- Index-wise BP allocation (NIFTY and BANKNIFTY)
- Stock allocation pool
- Recommended number of stock positions with BP per stock
Usage:
This indicator helps traders:
1. Scale positions based on market conditions using price percentile
2. Maintain balanced exposure between indices and stocks
3. Optimize capital utilization while managing risk
4. Adjust position sizing dynamically with market volatility
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免責事項
この情報および投稿は、TradingViewが提供または推奨する金融、投資、トレード、その他のアドバイスや推奨を意図するものではなく、それらを構成するものでもありません。詳細は利用規約をご覧ください。
オープンソーススクリプト
TradingViewの精神に則り、このスクリプトの作者はコードをオープンソースとして公開してくれました。トレーダーが内容を確認・検証できるようにという配慮です。作者に拍手を送りましょう!無料で利用できますが、コードの再公開はハウスルールに従う必要があります。
免責事項
この情報および投稿は、TradingViewが提供または推奨する金融、投資、トレード、その他のアドバイスや推奨を意図するものではなく、それらを構成するものでもありません。詳細は利用規約をご覧ください。