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Profitable Intraday Strategy | Short Straddle | Detailed Explanation | Optionables

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  • Опубликовано: 13 май 2021
  • Coupon codes to get courses for free
    courses.optionables.in
    1) Fundamentals of Option : OPTION100
    2) Common Sense Investing : OPTIONABLES100
    Firstock Account OpeningLink:
    kyc.thefirstoc...
    Analyze your trades on Sensibull and get offers on Annual Pro subscription by using the following link :
    web.sensibull....
    Website: www.optionables.in
    Telegram Group: t.me/joinchat/...
    Instagram: / optionables_
    Twitter: / optionables
    A short straddle consists of one short call and one short put. Both options have the same underlying stock, the same strike price and the same expiration date. A short straddle is established for a net credit (or net receipt) and profits if the underlying stock trades in a narrow range between the break-even points. Profit potential is limited to the total premiums received less commissions. Potential loss is unlimited if the stock price rises and substantial if the stock price falls.
    Maximum profit
    Profit potential is limited to the total premiums received less commissions. The maximum profit is earned if the short straddle is held to expiration, the stock price closes exactly at the strike price and both options expire worthless.
    Maximum risk
    Potential loss is unlimited on the upside, because the stock price can rise indefinitely. On the downside, potential loss is substantial, because the stock price can fall to zero.
    In 2017, as three friends spent their free hours in college discussing and trading in stock market. They came up with an idea to trade their friend’s savings and increase the returns. Within 6 months a collected sum of 25,000 was doubled. This made the friends happy and the three to spread the joy of compounding cash to many. Soon their popularity grew, and they received funds from friends and family. The funds grew from 25000 to 1 million.
    The term ‘Options’ means valuation of underlying financial assets and ‘ables’ is the ability to trade in the market with accuracy.
    They decided to make things formal. On 18th December 2019, Optionables Fintech LLP was born from the hard work and dedication of its founders.
    We are currently focused on building financial models and deploying it in actual trade. We build models based on probability and open interest and try to predict market range within a time frame with a reasonable probability. We believe
    In the power of compounding as it is the key to unlock full potential of wealth creation.
    In the value of each percentage point.
    In taking trades that reward our partners.
    In managing risks better as it gives better rewards.
    With time as the firm grew the Asset Under Management of 1 million rose to 10 million and continues to grow.

Комментарии • 2 тыс.

  • @aniket_thete
    @aniket_thete 3 года назад +261

    First time someone on RUclips share a strategy with full historical data and statistics ❤️

    • @shravanbelumanchi3834
      @shravanbelumanchi3834 2 года назад +8

      Please tell me On which day this strategy should we use or should we use only on expiry day

    • @nitishkumar-bf5kh
      @nitishkumar-bf5kh 2 года назад +3

      @@shravanbelumanchi3834 daily

    • @ronivarghese4348
      @ronivarghese4348 2 года назад +1

      @@shravanbelumanchi3834 exp

    • @urmishrestha871
      @urmishrestha871 2 года назад +1

      Hi.can u plz tell which expiry we hv to use on thursdays?thanks

    • @aniket_thete
      @aniket_thete 2 года назад +1

      @@urmishrestha871 same day

  • @nw1235
    @nw1235 Год назад +12

    Personally tried this by actual trading over this.... I was not exiting either before hitting SL or 14.55 time even if one side SL gets hit. But this strategy is very risky. When profit happens its in range of 400 rs per lot (15 qty) but when one or two SL hits, we expose to heavy risk (1000 for one side for 1 lot of 15 qty) most of the times due to limitation of price fall in selling... ALSO main risk is SL hunting.... I've observed, may be lot of retailers try to use this strategy, and as we all place pending SL order, those SLs are intentionally hunted and then price reverses just after hitting SL and then exposes to heavy loss risk... In terms of good RR ratio, it is overboard in this strategy. My advice to retailer friends like me, stay away from this... Money will be risked heavily and time will be wasted and in the end you will not get worth return of that risk and time... this video is nice to see but worst to execute atleast nowadays....

    • @athilesh2095
      @athilesh2095 7 месяцев назад

      Which one is good for selling

  • @sushantjadhav2943
    @sushantjadhav2943 Год назад +1

    I applied this strategy with some tweeks for Dec 2022 and I was able to make Net ROI of 3.5% after brokerage and taxes. This month was very volatile but still managed a decent ROI. Hopefully I will be able to make better ROI on less volatile months.
    I appreciate your effort on data analysis and it gave me confidence to trade. I will keep following this strategy for coming months and will try to update my ROI on this comment.
    Thankyou!!!

  • @ramakrishnansankaranarayan949
    @ramakrishnansankaranarayan949 2 года назад +4

    The very best video I have ever come across on this topic. Presented in a simple manner but not one detail missed out. Thanks a ton for this optionables folks

  • @rahuldahanke
    @rahuldahanke 3 года назад +49

    First time saw some clear knoledge in RUclips.
    Thanks Team Optionable LLP.

    • @vishantraut3304
      @vishantraut3304 3 года назад +2

      Good and honest content. Per day profit avg is max 350 rs per lot. Brokerage tax is 120rs. So profit is 230 rs per day. 4600 rs per day for 2.5lakh investment. So actual return will come to 18 percent per annum. Thus actual drawdown will be higher due to brokerage

    • @jeevajeeva2481
      @jeevajeeva2481 3 года назад +1

      do you using this sir ?

  • @MrNjmanoj
    @MrNjmanoj 3 года назад +16

    Presentation is very crisp and clear. No room for us to skip the video anywhere. This is the first time I'm seeing your channel. Big thumps up👍

  • @Niya146
    @Niya146 3 года назад +26

    Thank you so much for your sincere efforts to educate traders, especially at a time when lots of newcomers are entering the market. Your way of explaining backed by strong data, help us understand clearly. Keep up your good work. 🙏

    • @amazingdude9042
      @amazingdude9042 Год назад

      Entire video is fking fake. I did backtesting on this all the data came completely different and profit is not eve half of what he is claiming. this ch*tiyas are fking fake experts.

  • @KaranSamal
    @KaranSamal 2 года назад +4

    Works very good on expiry days. First of all, entering after 1 PM, limits the chances of a V shaped recovery. Even if it does, trader can create another straddle to protect the weaker leg.

  • @afforto
    @afforto 3 года назад +51

    Amazing man, I don't know why should I take much time to find ur channel!!

    • @vishantraut3304
      @vishantraut3304 3 года назад +3

      Good and honest content. Per day profit avg is max 350 rs per lot. Brokerage tax is 120rs. So profit is 230 rs per day. 4600 rs per day for 2.5lakh investment. So actual return will come to 18 percent per annum. Thus actual drawdown will be higher due to brokerage

    • @nageshaddepalli8240
      @nageshaddepalli8240 3 года назад

      @@vishantraut3304
      Yes, if one is doing one lot what you said is right, however this cost will not be there if one does say 10 lots. Eventually unless one scales up such strategies will not bring in enough profits for the time and effort spent.

    • @pushkarvaidya3503
      @pushkarvaidya3503 3 года назад +1

      @@vishantraut3304 18 percentage after tax is not bad actually.
      That too working only for few minutes.
      You can use other strategies along with this one .

    • @urmishrestha871
      @urmishrestha871 2 года назад +1

      Hi.can u plz tell which expiry we hv to use on thursdays?thanks

    • @Vidyasagarbb
      @Vidyasagarbb 2 года назад +1

      @@urmishrestha871 obviously the expiring week options.

  • @kingjimmy442
    @kingjimmy442 3 года назад +17

    In 5 min you taught me something, which I tried to learn last 5 years... You are my guru now onwards 🌹

    • @ankitshrivastav4455
      @ankitshrivastav4455 3 года назад +1

      Maybe then this is not for u

    • @krishnakrishna629
      @krishnakrishna629 3 года назад

      Bro tell me target of strategy before 2:55 pm

    • @kingjimmy442
      @kingjimmy442 3 года назад

      @@ankitshrivastav4455 ok thn you keep it

    • @coolmonkey5269
      @coolmonkey5269 Год назад

      NOT WORK. CAPITAL NEEDS 3.5L FOR 1LOT. AVG MONTHLY INCOME IS 6K WHICH IS JUZZ 2% PERM MONTH OR 24% PER YEAR. CANOT BECOME RICH FROM 24% PER YEAR.. INSTEAD WE CAN DO SWING TRADING FOR MORE RETURNS.. WHAT A TIME WASTED 1HR FOOLS STRATEGY

  • @toofrellik
    @toofrellik 3 года назад

    made a profit in 2020 April with this strategy??? A great deal.... too good to believe, but i trust you guys.

  • @SMN10722
    @SMN10722 3 года назад +23

    Brilliant, you simplified so well. Well done, look forward to more knowledge.

  • @srskar
    @srskar 3 года назад +17

    I really appreciate for your efforts in explaining risk management. Most of the traders miss this point

  • @sayakdeyashi9027
    @sayakdeyashi9027 3 года назад +11

    Hi @Optionables team,
    First of all thanks a lot for sharing such a wonderful strategy with amazing data points. You guys are amazing.
    I am trying this strategy for few days. I have few questions, please answer if possible:
    i) What to do when SL is hit. We have to close the other position immediately?
    ii) Premium shoots up when market suddenly move in a single direction. So if SL is hit in one position, for the other position we have to manually close it or there is some easier way.

    • @abhiradadiya7381
      @abhiradadiya7381 2 года назад +4

      As per my strategy when one leg hit SL in tranding market You have to Trail SL to cost to cost and trailing it every 10 to 20 point for other leg
      Or If VIX is high and market is in range and you are already in profit Then square off both legs

  • @sudhaanalyst5165
    @sudhaanalyst5165 3 года назад +2

    I watched several videos on options, but you are THE best.....congrats to this young team. May you reach dizzy heights in life.

  • @vishantraut3304
    @vishantraut3304 3 года назад +2

    Good and honest content. Per day profit avg is max 350 rs per lot. Brokerage tax is 120rs. So profit is 230 rs per day. 4600 rs per day for 2.5lakh investment. So actual return will come to 18 percent per annum. Thus actual drawdown will be higher due to brokerage

    • @optionables
      @optionables  3 года назад

      Right sir agreed. But volume helps

    • @saikiranuvca8488
      @saikiranuvca8488 3 года назад

      @@optionables for how many lots trading do u suggest this strategy as it feels not that much lucrative for one lot.?

  • @sagarsalvi82
    @sagarsalvi82 3 года назад +37

    Hi Saket, you have explained this very well along with the past data. Every confusion related to short straddle gets resolved after watching this.
    Just one suggestion, can you come up with a Video showing us some live adjustments that you do and how you do. Lets say if the break evens in short straddle are 14400 - 14900 what fire fighting / adjustments you do to minimize the loss.

    • @optionables
      @optionables  3 года назад +10

      Sir we have live videos on that do check it out

    • @sagarsalvi82
      @sagarsalvi82 3 года назад +3

      @@optionables I wanted to know the adjustments that are done on Straddle strategy, have u made a video on that. I couldnt find one hence written you back

    • @HeartinTamil
      @HeartinTamil 3 года назад

      Sir how can we automate this.please post video

    • @shravanbelumanchi3834
      @shravanbelumanchi3834 2 года назад

      Please tell me On which day this strategy should we use or should we use only on expiry day

    • @nitishkumar-bf5kh
      @nitishkumar-bf5kh 2 года назад +2

      @@shravanbelumanchi3834 daily krna h expiry me thoda bach ke

  • @prabhavvb
    @prabhavvb 3 года назад +3

    Hey man!
    This video was one of the best I've seen for Straddle.
    Some more points if covered would have been great:
    1.) What phenomenon is it that makes you money when sell ATM options? Is it theta decay? What's the max profit we're looking at? If we achieve near max profit, we can try to exit.
    2.) Out of 30%~ days when the market isn't range bound, do you have some ways to figure out if there are signs that it won't be range bound? India VIX? Continuous trending days before etc.
    3.) I did not understand how we will still make money if the market is slightly trending. Again, clarity on 1st point could answer this.
    I understand this is a free RUclips video, and this by far the one video that answered so many questions I had, but the usual trend is to hold the sell trade for a couple of days to get the max theta ( but that's usually in a strandle, right?)
    Again, thanks man and wish you all the success!

    • @optionables
      @optionables  3 года назад +3

      You only make money when market is rangebound or highly treading. You lose money when it's slightly trending
      1) Theta decay. You cant really measure how much. Because premiums are influenced by other factors too

    • @prabhavvb
      @prabhavvb 3 года назад +1

      @@optionables Thank you, for the very quick response!

    • @karthikeyansubramaniam
      @karthikeyansubramaniam Год назад

      Hi , is the short straddle really work ? For beginners is it safe? Or the chance to loose

  • @jasonwaters7246
    @jasonwaters7246 2 года назад +17

    Brilliant 👍, I keep saying that trading and investing is easy and safe with the right help and guidance

    • @jasonwaters7246
      @jasonwaters7246 2 года назад

      That's why I trade with Theresa she's the best

    • @rikeskull5629
      @rikeskull5629 2 года назад

      Recovered all my losses and earn more profits all thanks to Theresa

    • @carlmike770
      @carlmike770 2 года назад

      How to reach her?

    • @damienattenborough878
      @damienattenborough878 2 года назад

      I have made over $6000 trading as a beginner under her guidance, she's amazing

    • @trentarnold6219
      @trentarnold6219 2 года назад

      She's really good I earn profits every week trading with her system and strategies

  • @nmsinvestsabm927
    @nmsinvestsabm927 Год назад +1

    HUMBLE... DILIGENT...SUPER TALENTED
    A LETHAL COMBINATION FOR PROSPERITY.
    SALUTE TO YOU GUYS!!!

  • @TheSujeya
    @TheSujeya 2 года назад +14

    This session was very insightful and complete! Thank you so much!

  • @AnandRaj-xo1dg
    @AnandRaj-xo1dg 3 года назад +14

    Nice presentation and I really liked the part where you mentioned about the margin requirements and management. For beginners like us it is better to work with 1 or 2 lots. pl do share the best way to hedge this strategy to lower the margins.

    • @amazingdude9042
      @amazingdude9042 Год назад

      Entire video is fking fake. I did backtesting on this all the data came completely different and profit is not eve half of what he is claiming. this ch*tiyas are fking fake experts.

  • @Chittoorcampingguy
    @Chittoorcampingguy Год назад

    Very good sir I'm trying it from 15 days two days i got loss remaining days profit thank you e

  • @rajavijay9433
    @rajavijay9433 3 года назад +12

    Great work guys. Thanks for such a clear explanation on the strategy and margin management. Looking forward for more educational videos on option selling from you.

  • @SampathKumar-kb7ps
    @SampathKumar-kb7ps 3 года назад +5

    Mind blowing strategy bRo..... 😀👍👍👍👍🙏🙏🙏🙏 You guys are reaching to next levels in stocks market. Awesome 👍👍👍👍

  • @RamKumar-zu6xc
    @RamKumar-zu6xc 3 года назад +52

    you are making really good content for free will definitely recommend this to my frnds

    • @vishantraut3304
      @vishantraut3304 3 года назад +1

      Good and honest content. Per day profit avg is max 350 rs per lot. Brokerage tax is 120rs. So profit is 230 rs per day. 4600 rs per day for 2.5lakh investment. So actual return will come to 18 percent per annum. Thus actual drawdown will be higher due to brokerage

    • @tradingwithabhijeet5893
      @tradingwithabhijeet5893 3 года назад +1

      @@vishantraut3304 4600 for 2.5 lac? I think you can do only 1 straddle per 1lac capital. So the return on investment is not that much. Assuming 140 out of 200 days are profitable, you earn 35000and lose approx 15000, still net ROI is just 20%. Not that attractive. There are better strategies that can give 50-60% ROI by trading just on expiry.

    • @jatinprakash1129
      @jatinprakash1129 3 года назад +1

      @@tradingwithabhijeet5893
      Can you please make a video on that strategy..🙏

    • @GurpreetSingh-qr2lr
      @GurpreetSingh-qr2lr 3 года назад

      @@tradingwithabhijeet5893 can you tell me that strategy??

    • @hitmee2006
      @hitmee2006 3 года назад +10

      @@GurpreetSingh-qr2lr He does not have such strategy. He has just deviated us from doing this strategy. Now rather than testing this strategy, we will be searching for 50% profit strategy which does not exist.

  • @amani3837
    @amani3837 Год назад +1

    Hi saketh great video.Will this strategy work at present situation, please suggest.

  • @kumarmh7098
    @kumarmh7098 3 года назад

    In virtual trading app --- Today at the money call and put I sold at 255pm and by closing hour profit was 4000 with 1 lot. This i did for Nifty. Now I'm looking for info when it will affect capital. Thank you SAKETH FOR THIS VIDEO DIL SE MAN

  • @ssakthik
    @ssakthik 3 года назад +14

    Thanks for sharing, I guess this strategy works better on Mondays than on Wednesdays. Can you export and share the last 4 years data for analysis ? Cheers.

  • @mitishikdar7155
    @mitishikdar7155 3 года назад +5

    Can you please tell the expiry day for that atm call. Whether it's weekly or biweekly or monthly?

  • @tappannmhnt
    @tappannmhnt Год назад +1

    Suggest on managing brokerage and tax costs. Even with zerodha one sell will cost 20+10=30, x 4 to finish this strategy, almost 120₹ every day and if for 250 days a year it's 30000₹ per year is just brokerage. Are there brokers with fixed yearly or monthly brokerage plans??

  • @sudhakarsivaraman4089
    @sudhakarsivaraman4089 3 года назад +5

    Thanks for the strategy. So should this be implemented on BN weekly contracts. Which day will we move to the next week contract. like Friday to Thursday on the current week contact and from next friday should we move to the other week contracts. Could you please clear this doubt

  • @karan_vlogs2312
    @karan_vlogs2312 3 года назад +9

    Please share more stretergy which require less capital. Keep it up

  • @sonupatel-rc8ms
    @sonupatel-rc8ms 3 года назад +8

    I am very impressed with this video. Good content, great data driven presentation. Keep up the good work 👍👍👍

  • @hamrik25
    @hamrik25 2 года назад +1

    Its really important to mention here that you have changed your SL% to 75% from 30%.
    Only mentioning in live trade videos isn't right.
    I suggest you pin a comment with all updated changes so that people can religiously follow the system.
    Kudos to you and the team, thank you so much

    • @Deepak_Muruganandham
      @Deepak_Muruganandham Год назад

      Is it..?? SL has been changed to 75%..?? Can u mention the latest video which explains the same..??

  • @sofia-rf5ev
    @sofia-rf5ev 2 года назад +1

    Thank you very much for this strategy. I would like to use it in the NYSE and I´d like to know which time you think is the best to trade it there. Still 1 PM and 2:55 PM. I would thank you very much if you would answer to my question. Pedro from Spain

  • @romilpatel7045
    @romilpatel7045 3 года назад +8

    I back tested in Stock Mock but now Its time to forward testing from Monday ....Thanks for Giving us Such Risk and Money Management And Trade behind its psychology is Awsome

    • @optionables
      @optionables  3 года назад +2

      What were your results sir please confirm so it will be like verification for other people

    • @romilpatel7045
      @romilpatel7045 3 года назад +4

      @@optionables In back test it shown 71 % win Rate and only 2 months minor loss in 3 figure in last 4 years and 3 months but one can minus 0.50 to 1 % for slippages for forward testing for better result and idea

    • @romilpatel7045
      @romilpatel7045 3 года назад

      @@optionables and Also one can Avoid to trade on Monday too because it was gave losses on Monday so they can save that day slippages and brokerage too and it's give better performance in ur returns too

    • @AjayGupta-xm4hr
      @AjayGupta-xm4hr 3 года назад

      Hi Romil, the max loss would be when both sides SL is hit, can you check that what are the days (Mon, Tues etc), where both side SL hit has max probability ?

    • @romilpatel7045
      @romilpatel7045 3 года назад +2

      @@AjayGupta-xm4hr 102 days out of 1586 days in 4 yrs hit both side sl so don't worry abt that just follow the rules ....

  • @PaulLincoln007
    @PaulLincoln007 3 года назад +9

    Your strategy is awesome but for small retailers shorting 10 lots CE and PE requires huge money which many of small retail traders might not have it. And shorting just 1 lot may not give a handsome return monthly.

    • @avinashbuchade7810
      @avinashbuchade7810 3 года назад +2

      First learn the strategy,master it and then you can do with 10 or even 50 lots.

    • @catparadise6889
      @catparadise6889 3 года назад +5

      @@avinashbuchade7810 paisa tera baap dega kya

    • @startatrade4917
      @startatrade4917 2 года назад

      ,
      🤣

    • @henki372
      @henki372 2 года назад

      Even with one lot u can make one crore in 5 years buddy .

  • @harshchauhan5255
    @harshchauhan5255 2 года назад +1

    Mera ek question hain agar call ya put mein se kisi ka stop loss hit ho gya to kya call aur put dono ki position ko square off kar denge ya fir jiska stop loss hua ha usi ki position se square off hona hain? Anybody answer me?

  • @anandcb9278
    @anandcb9278 2 года назад

    I commented before watching the full video. You mentioned why trade placed after 1 pm. Thanks .Good job guys

  • @sunilsoni730
    @sunilsoni730 3 года назад +17

    Can this strategy be implemented in Nifty and what can be its entry, exit, SL rules?

    • @nilayshah4096
      @nilayshah4096 2 года назад

      Do not work in nifty i have 4 months of data.

  • @gooluurs5756
    @gooluurs5756 3 года назад +4

    Learnt a lot from this video.....
    What is the effect of hedging this short straddle to ironfly.....
    Advantages and disadvantages......
    Can you explain it Sir.....

  • @sonylizz
    @sonylizz 2 года назад

    Obviously he is intellectual ! Such a brilliant detailing with all data in hand !! Sincere approach. Great... Highly appreciate.

  • @KobayashiMaru-
    @KobayashiMaru- 2 года назад

    Atleast for me it is The first genuine video I came across on RUclips .. kudos buddy and thanks

  • @harshadamoree
    @harshadamoree 3 года назад +37

    To all those who are asking about exiting other leg if one sl is hit-
    You have to hold it till 2.55pm no matter what. Whether 1 sl is hit or no sl is hit (both are in profits) or both sl are hit. YOU HAVE TO EXIT AT 2.55PM SHARP.
    It's about STICKING TO RULES and being CONSISTENT even in loosing streak.

    • @urmishrestha871
      @urmishrestha871 2 года назад

      hi.do u personally use this strategy?

    • @urmishrestha871
      @urmishrestha871 2 года назад +2

      Hi Harshada.can u plz tell which expiry we hv to use on thursdays?thanks

    • @hamrik25
      @hamrik25 2 года назад +4

      Hi, Harshada, you might know this,
      does everything remain the same for nifty as well? (SL%, entry time, exit time)
      Also they changed the SL to 75% in live trades, is that true? What is the new SL for nifty and new for BN?

    • @RajeshSharmadr
      @RajeshSharmadr 2 года назад

      Hi, just to clarify , if we put SL for both sides, if one side SL is reached and is executed, do we let run the other side of straddle till 2:55pm. Or you mean whether SL is reached or not, we have to let run both sides till 2:55pm

    • @RajeshAllem8256
      @RajeshAllem8256 2 года назад

      @@RajeshSharmadr You have to keep the other leg open till 2:55pm and close it with whatever loss/profit you see on the screen.

  • @drb.a.bhalodia5438
    @drb.a.bhalodia5438 3 года назад +3

    Nice explanation , ..yes now we need enthusiastic traders and educators,analysts ..many thanks ..

  • @anoshlokhande8102
    @anoshlokhande8102 2 года назад

    Really fantastic video.
    First time anyone teach us with historical data and money management...I am trying to buy ce only in 10k, and will profit of 3-5 k, and it was wrong thinking..
    U tell us proper money management and how, when,lot size given.. 🙏🙏🙏🙏🙏🙏
    Sir I lost to much money in lerning from not proper teaching.. I want to join u r classes. Please guide us.
    Thanks.
    God bless you 🙏🙏🙏🙏🙏

  • @jaiprakashn9686
    @jaiprakashn9686 2 года назад

    After 6 months first view, very very new angle on options selling strategy, (a beginner) very well explained with data's thanks for the beautiful demo presentation, JPN.

  • @addynaidu6470
    @addynaidu6470 3 года назад +12

    Can you make a video how you backtest strategies. Specially the tools you use. Will be very valuable.
    Very crisp explanation. Thank you and keep it up. All the best👍

  • @nagarajanag8079
    @nagarajanag8079 3 года назад +6

    Very informative, thanks Bro!! Next video can be on how to hedge when we do Option buying. This will help small retail traders with small margins like me who cannot do Short Straddles.

    • @shravanbelumanchi3834
      @shravanbelumanchi3834 2 года назад

      Sir Please tell me On which day this strategy should we use or should we use only on expiry day

    • @prashanthkumar2066
      @prashanthkumar2066 Год назад

      I have the same question @optionables

  • @theSumanMondal
    @theSumanMondal 3 года назад +1

    First time I have understood the strategy in details .... Thank U Brother❤️.... Truly this channel is a gem💎 for option begainners🙏❤️ .......

  • @police1500
    @police1500 2 года назад

    Thanks for ur Optionable Telugu channel.

  • @sandyk5117
    @sandyk5117 3 года назад +10

    Wonderful knowledge. Kudos to the two geniuses. Quick Q - When option Premium is high or uneven on PE or CE side (e.g. PE - 300 and CE is 400) for ATM Strike Price, should we go for consider going +100 or -100 on Strike Price?

    • @optionables
      @optionables  3 года назад +8

      You can go one away to balance the premiums

    • @Speedliner001
      @Speedliner001 2 года назад +1

      @@optionables can I short otm rather than atm ?

  • @peacemaker5204
    @peacemaker5204 3 года назад +56

    This is some serious knowledge for free..!! A salute to you guys..!! Simply fantastic..!! Thank you guys👍..!! Just a small questions I have seen you taking some adjustments trades sometimes, so If we have already set a Stoploss of 30% both side then do we have to take adjustments trades?

    • @jibuoommenthomas52
      @jibuoommenthomas52 3 года назад

      same question here

    • @pundamani10
      @pundamani10 3 года назад +18

      I think he is having different setup, in this video he shown us straddle with fixed sl.. If any leg sl hit we will exit ,continue with other one till sl or 2:55 pm cut off.. So no more adjustment needed, as he mentioned movement will not be there most of the days from 1 pm to 2:55 pm. It's my understand btw

    • @dhanush5519
      @dhanush5519 3 года назад

      Same question

    • @vishantraut3304
      @vishantraut3304 3 года назад +12

      Good and honest content. Per day profit avg is max 350 rs per lot. Brokerage tax is 120rs. So profit is 230 rs per day. 4600 rs per day for 2.5lakh investment. So actual return will come to 18 percent per annum. Thus actual drawdown will be higher due to brokerage

    • @AnandVardhan
      @AnandVardhan 3 года назад +2

      Truly agree, this is some serious knowledge with backed up data. Truly amazing team.

  • @sudhakarraju6848
    @sudhakarraju6848 2 года назад

    Today I paper traded this system.
    Market didn't go anywhere, resulting in paper loss of 10 &30 points in nifty and BN weekly options respectively per lot.
    Looks like it is a directional trade in the guise of non directional.
    That too it will give profit only when market trends violently in one direction.
    I hope I have made myself clear.

  • @karth1983
    @karth1983 2 года назад +1

    Can we do this in crude oil options?

  • @SahilKhan-ne4pr
    @SahilKhan-ne4pr 3 года назад +6

    Mind Blown!!!!!
    Is this the strategy that people are selling in their 1 lakh rupees course on RUclips. Hahahaha
    Keep it up brother.
    More success and power to you.

  • @anishetty26
    @anishetty26 3 года назад +4

    This is the best Short straddle video i have come across. Thanks man!

  • @aakashverma7848
    @aakashverma7848 2 года назад +1

    Thanks! Sir u have given more knowledge then paid groups for lay man like us

  • @gopikanagal2141
    @gopikanagal2141 2 года назад

    Great I am just 1 yr old want to learn short term and intraday for living

  • @mathewinmuscat
    @mathewinmuscat 3 года назад +3

    Good work son. Stay blessed

  • @namasivaya8928
    @namasivaya8928 3 года назад +5

    Hi Saketh
    Subscribed, liked and shared not just for the content but for your inner beauty which is visible in your speech.
    Just few inputs
    1.With trailing SL we can decrease the max DD and profit percentage.
    2. With Nifty which is less volatile than BN, will the strategy yield more return.

  • @orkayen
    @orkayen 2 года назад

    In the Stop loss example, When you sell ATM call and put, you get 300+330 as credit. Total 630. When you set SL for 30%, call Sl to 390 and Put sl to 429. If it moves up, your gain is 630-390=240. If it moves down, you get 630-429=201. If it goes up and down within 1 hr, the 630-(390+429)= -189. Correct?

  • @173sonu
    @173sonu 2 года назад

    I invested half an hour of my day in your channel. It was woth it. Tq

  • @hareeshvet
    @hareeshvet 3 года назад +10

    If SL for one leg triggered , when to exit the other leg in ur short straddle strategy

  • @AnkitPatel-jg1fw
    @AnkitPatel-jg1fw 3 года назад +7

    How to change this strategy and add a little bias into it?
    Great work!!

  • @surendrabarsode8959
    @surendrabarsode8959 2 года назад

    Very well explained. Thanks. I have not started trading as yet and hence, two basic question on margin and profit-
    1- If I short 1 lot of straddle on BankNifty, I will need margin on both 1 lot of call and 1 lot of put- right? How much is that total margin after 1st Sept 2021? How much of it can I offer by way of lien on FD or T bonds or other securities? How much in cash?
    2- When I close my position at 2:55, I have to buy 1 lot of call and 1 lot of put to square off. So my profit on the straddle will be net of premium collected and premium paid. I donot recollect you mentioned premium paid anywhere in the example when you worked out the profit. Please clarify.
    Thanks and regards

  • @prashantg1985
    @prashantg1985 3 года назад +1

    I have one question
    Example BANKNIFTY @35500 .. 1pm. Sel 35500 CE@400.. place SL 520 Sell 35500 PE@400 place SL 520 BANKNIFTY around coming down 2 pm 35200 our BANKNIFTY option PE SL hit what we do our BANKNIFTY option CE position
    Please please reply Sir
    Please reply Sir

  • @sanjayb1253
    @sanjayb1253 3 года назад +7

    Hi Saketh, You and your team are doing a great job and thank you for explaining these concepts so transparently and clearly which otherwise would have been difficult to understand.
    I had two questions on Short Straddle:
    1. Do you always choose a Strike Price above the current trending price or it doesnt matter. eg: if Bank Nifty is trading at 34680, do you choose the strike price only as 34700 or 34800 for straddle or you can choose 34600 as well?
    2. I am trying to execute a basket order for shorting call and put for 1 lot of Bank Nifty and i have a margin amount of Rs 1.75 Lakhs maintained, but my order is not going through and it says as failed, but i notice that the margin calculator shows below the basket order as Rs 1 Lakh required. Am i doing anything or seeing anything incorrect here?
    Rgds

    • @sanjayb1253
      @sanjayb1253 3 года назад

      Also, adding to the above, when i try a SL of 30% of the current premium value, i get an error saying the SL should be less than the LTP... Request if you could do a webinar which would help to answer a lot of questions.

  • @richardcrown9764
    @richardcrown9764 Год назад +5

    Great video. I make huge profits on my investment since i started trading with a professional broker Mrs Kathi Morgan, her trading strategy are top notch coupled with the little commission she charges on her trade. Thanks so much ma'am♥

    • @felixsizer300
      @felixsizer300 Год назад

      I appreciate you for the level-headed financial advice. I started my investment with $8,500 in just a week of trading with her I’ve gotten profits of $19,750 in my portfolio. Thank you Ma'am

    • @sarahgrindle4658
      @sarahgrindle4658 Год назад

      Wow! Pretty good please how can i reach this broker Mrs Kathi Morgan everybody is talking about? I want to invest i'm in Canada

    • @richardcrown9764
      @richardcrown9764 Год назад

      Available on TeIeg-ram

    • @richardcrown9764
      @richardcrown9764 Год назад

      @KATHIMORGAN2 is her user name for help..

    • @michaelmingle9533
      @michaelmingle9533 Год назад

      Ever since i started trading with Mrs Kathi with the consistent weekly profits i'm getting there's no doubt she's the best. such a genius I have been withdrawing my profits thanks for your great work and God bless you more..from Slovenia

  • @bharathkumar-ft4sq
    @bharathkumar-ft4sq 3 года назад

    As per this strategy, on 28.5.21 35100 ce&pe RETURN is ZERO
    35200 ce&pe RETURN is 10 only. I will paper trade it for some time. Good work 🙏👌👍

  • @SimpleTraderTamil
    @SimpleTraderTamil 2 года назад

    Selling call and selling put @ATM option for same strike price or different strike price. Can anyone clarify this doubt?
    Example: call selling at 35000
    Put selling at 35000
    Above is the strategy or something different. I am new to option short straddle.

  • @aibymohandas3470
    @aibymohandas3470 3 года назад +4

    Hi, Good Tutorial and i was following and trying the strategy as it is.
    Entry by 1pm and Exit near 2.55 pm; doing since last 1 week ; noticed that most of the days after 2.30 it reaches a position and by 2.55 its falling enter in loss or with a small profit.
    My question are 1.) do we want to exit at a target too or stick to the process however it is Profit or Loss ?
    2) do both staddle and straggle gives almost the same result or is there any significant difference in result or setups at which these strategies should select?

    • @sachinmore3603
      @sachinmore3603 2 года назад

      I feel if you are keeping 30 percent as SL then keep 30% as target but dont close position when you reach target. Instead trail your SL from that point this way your net profit will improve.

    • @vinay8188
      @vinay8188 2 года назад

      yoiu should practice in paper trade experts may give you suggestion or advice but you shoukld practice atleast 8 weeks to learn about strategy

    • @natureslap8861
      @natureslap8861 2 года назад

      Following

  • @ashwinikhanna
    @ashwinikhanna 2 года назад +2

    Hi Saketh - very nice video.
    I have a question - if on a volatile day SL hits on one leg, then should we maintain a 30% SL on the other leg or bring it to cost to cost to avoid SL hitting on both legs?
    What do you say?

  • @virajpatel85
    @virajpatel85 2 года назад

    With respect new generation talent love u guys keep educating INDIA thank you

  • @anuragbole
    @anuragbole 3 года назад +1

    hello optionabe you guys are really helping me to be a profitable trader............can you guys make a playlist of all the videos of short straddle you have uploaded
    will be relly helpful thankyou

  • @vishwasviranivv
    @vishwasviranivv 3 года назад +8

    Hi, thank you for the awesome content. A small question. Do you think taking 25% SL on both legs would help reduce the DD? Can you confirm using the backtesting?

    • @ccviralvideo2023
      @ccviralvideo2023 2 года назад +10

      Do it yourself.. and comment here.. how much they need to spoon feed

  • @135790Abhi
    @135790Abhi 3 года назад +12

    I remember in one of your live trading, you started at 10 AM with 40% sl..

  • @mthaha2735
    @mthaha2735 2 года назад

    No regrets that I found your channel little late. its a gem amongst the garbage that you see in yt

  • @pandurangjadhao8481
    @pandurangjadhao8481 12 дней назад

    Very informative and learning video, thank you so much sir ❤

  • @drb.a.bhalodia5438
    @drb.a.bhalodia5438 3 года назад +3

    High probability ,. along with others should stand major criteria for option strategy

  • @vishaljangir
    @vishaljangir 2 года назад +3

    1 Question, What if one leg gets trigger SL, the should we close the other leg or wait untill 2:55 pm

    • @suhil79
      @suhil79 2 года назад

      Yes, If one leg hits stop loss, other should be there.

    • @1985mohez
      @1985mohez 2 года назад

      Move the other SL to cost and trail

  • @akshayd.a5094
    @akshayd.a5094 Год назад

    This strategy was commented by me on one of your videos long ago, before this video itself. But I used virtual trading and I explained that too in that. But thank you for making this video with proper data and research.

  • @173sonu
    @173sonu 2 года назад

    Today morning i wanted play some geetha on youtube. But ended up in your channel , its really interesting and informative and also educational,
    If only possible make video for age 10, so we could give finacial education for our younger ones(its a request)

  • @raghurayanna4200
    @raghurayanna4200 3 года назад +6

    Saketh , Need clarification. Whenever SL hits for any options do we need to close the other options also ? It will good if you explain the strategy with different scenarios.

    • @thomaspm5097
      @thomaspm5097 3 года назад +6

      No they don't close the other leg when one hits sl ....thats why in the risk management chart he shows number of days no sl hit , 1 sl hit & 2 sl hit .

    • @raghurayanna4200
      @raghurayanna4200 3 года назад +2

      @@thomaspm5097 Thanks a lot Thomas !

    • @BN15804
      @BN15804 3 года назад

      @@thomaspm5097 Is there any requirement of sl trial of second leg or we continue with previous sl.plse reply...

    • @thomaspm5097
      @thomaspm5097 3 года назад

      @@BN15804 question is not clear . The thing is to place 30% of each leg as stoploss and even if one leg hits sl dont do anything just carry the trade with other leg , we dont need to Modify the SL of the remaining one leg.

    • @TraderBright
      @TraderBright 3 года назад

      We can do this only on expiry day? Or all days

  • @monishb8948
    @monishb8948 3 года назад +7

    Amazing! but I've got a doubt,
    If the SL is hit on one leg, Should we exit the trade? Or should we let the other leg run till 2.55pm?

    • @srikanthsriram8033
      @srikanthsriram8033 3 года назад

      I have the same doubt

    • @nitishkumar-bf5kh
      @nitishkumar-bf5kh 3 года назад

      @@srikanthsriram8033 leave the leg

    • @subhendramondal3000
      @subhendramondal3000 3 года назад

      Trail stop loss for the other one.

    • @ayushkamboj3742
      @ayushkamboj3742 3 года назад

      - If you think the market will keep going in the same direction don't do anything as the other leg will keep giving you profit.
      - If you think that the market will consolidate, just take whatever little profit/loss you have on the other leg and exit it as well.
      Then, place a new straddle at the new ATM.
      - If you think that the market will go back; again just take whatever little profit/loss you have on the other leg and call it a day.
      Incase you have time left; then you can wait for the market to go back and put the same straddle again.

    • @henki372
      @henki372 2 года назад

      Arre Bhai very simple make another stradle and don't tuch the remaining

  • @drparthivshah400
    @drparthivshah400 2 года назад +1

    INTERESTIN STRATEGY TO FOLLOW. JUST A QUESTION. WHICH ATM STRIKE TO BE CONSIDERED;SPOT OR FUTURE? I MEAN YOUR DATA IS BASED ON SPOT OR FUTURE? KINDLY RESPOND.THANK YOU.

  • @arupmukherjee3403
    @arupmukherjee3403 2 года назад

    Compared to this if you have less capital and less time go for Iron Condor/Iron Fly/ratio spread weekly...don't see much differences...u don't have to execute trade multiple time....margin required less....only in case some movement need to know adjustment or come out with small loss...

  • @varunmundkur1
    @varunmundkur1 3 года назад +4

    Thank you for sharing this. I have noticed that in practice, a 30% SL, or any SL for that matter, may get hit more often than it should due to stop loss hunting, leading to a loss in that particular day's trade. Knowing this, would it be wiser to place manual SLs / wider SLs to begin with? It would be great if you could make a video on SL hunting and how to avoid it.

    • @naveenprakash9987
      @naveenprakash9987 3 года назад +1

      Yes appreciate if u can make a short video on stoploss hunting

    • @vermainvestmentscorporatio9252
      @vermainvestmentscorporatio9252 3 года назад

      @@naveenprakash9987 30% is never under SL hunting, no VIX spike can trigger that. Only the real movement of underlying will lead to this, and that too with minimum slippage loss.

    • @Abhinandanabhi1212
      @Abhinandanabhi1212 2 года назад +2

      The Stop Loss in this strategy is not exactly to "stop loss" always, as Optionables have said in other videos.. The essence is that on trending days, one leg SL is hit, and other leg will go on to give you some profit of the trend continues.. only in V-shaped recovery, u get the real loss .

    • @krishagartala09
      @krishagartala09 2 года назад +1

      @@vermainvestmentscorporatio9252 what is logic of multi strike straddle strategy SL, how to put SL in multiple strike ?

    • @1985mohez
      @1985mohez 2 года назад

      Never try to exit manually ..you will be raped badly someday as there can be big spikes especially in banknifty of 300 -400 points in few seconds before you react you will b sitting on a huge loss ..always put stoploss my friend

  • @starfightyt
    @starfightyt 3 года назад +4

    Very nice. Can you explain this should trade weekly /monthly option. If it is weekly wedensday and thursday will have very less premium at 1pm , so SL can hit easily on both sides. so can we trade next week option on wednesday and thursday ?

    • @vikassangwan9471
      @vikassangwan9471 3 года назад

      Entry and exit on time without having second thought with total belief in this strategy is must for at least three months . you should see your ROI on monthly basis not on daily basis.. yes you can but all the backtesting is done here is on current weekly exirey only . use stock mock to test

  • @surekag3844
    @surekag3844 Год назад

    Wow marvelous teaching,crystal clear,all in one,thanku very very very much optionables

  • @shubhambansal9013
    @shubhambansal9013 2 года назад

    Have been doing this for 3 months now.For 5 lots.Have a total loss of 34 thousand.The losses on a particular day are much higher than the profits on two or even three days combined.

  • @tejasmane710
    @tejasmane710 3 года назад +7

    I have a question, when 1 side SL got hit should we continue hold another leg till 2.55 or exit immediately

    • @saimahesh456
      @saimahesh456 3 года назад +2

      Yes hold another leg till 2.55

    • @RajaBabuZ
      @RajaBabuZ 3 года назад

      Please clarify this.. it has not been provided clearly.

    • @theirtravellingtalest3.804
      @theirtravellingtalest3.804 3 года назад

      @@RajaBabuZ you can watch their other videos on nifty strangle. in that video they mentioned about these 2nd leg.

    • @raveadventure8736
      @raveadventure8736 3 года назад +1

      You have to exit .use common sense .when one leg hit sl then wat is the use of straddle here. If u continue wat if market reverse and hit another SL.

  • @srinivasdindigala7198
    @srinivasdindigala7198 3 года назад +10

    Nice explanation ..one suggestion you should have considered the slippage also ..and also in your live videos you are doing the adjustments to match premiums ,can u explain that aslo in upcoming videos..

    • @saigopi8185
      @saigopi8185 3 года назад

      It's options selling strategy in it they have to do more adjustments

  • @karanbirsoin9983
    @karanbirsoin9983 3 года назад +1

    Hi Saketh. I am watching your video again at your point on consistency in strategy, my question is if we do straddles would taking some strangles count as an inconsistency? Looking forward to your response…..

  • @dragonballsuperfans2323
    @dragonballsuperfans2323 2 года назад +2

    I am glad we have a teacher like you in this world.you are doing great job sir. Giving us a hope & motivation for full time trading & nobody teaches the way you do.
    Simple & better.
    Thank you so much ❤

  • @shampavmancg
    @shampavmancg 3 года назад +17

    Thank you for this .. could you also make a video on weekly or biweekly straddles and how it should be adjusted? It would be really helpful

    • @sagi272
      @sagi272 3 года назад

      Ye video monthly straddles ki thi

  • @rileystunner3599
    @rileystunner3599 3 года назад +7

    Hey guys can you make a video on what is a proprietary trading firm and how does it function and how to set it up in india? Thank you

    • @josephanderson249
      @josephanderson249 3 года назад

      I'd like to know as well. If you find information anywhere else please do share me , thank you

  • @sanjibkumar2050
    @sanjibkumar2050 11 месяцев назад

    2 years after this video market dynamics has changed,
    We can easily see v shape movement and Bruj khalifa on 2:20 candle

  • @sambandhankathirvelu6026
    @sambandhankathirvelu6026 2 года назад

    Excellent video. Very much useful for very beginners like me. More than that, highly motivated, confidence boosting Video. Thank you very much.. No words from my side to appreciate you.. Kindly keep doing this kind of Videos please..