Lifetime Continuous Return || Advance Option Trading Strategy || Anuj Gaur

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  • Опубликовано: 17 янв 2025

Комментарии • 656

  • @adithyavardhan1483
    @adithyavardhan1483 3 года назад +3

    Maine yeh strategy nov 2020 aur feb 2021 pe backtest kiya hai aur result kaafi accha hai. Haan ki is strategy mein return thoda kam hai lekin safest bhi hai aur deploy karna aasan hai bina kisi confusion ka.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      agreed

    • @hemantprisha1676
      @hemantprisha1676 3 года назад +1

      Very true it is rocking in both nonths

    • @hemantprisha1676
      @hemantprisha1676 3 года назад +1

      Pls if you can backrest on Apr month since premium were more than 2500 pt on sell side do we need to buy premium away for 1000pts just half of whateve we have collected

    • @manishthakekar7139
      @manishthakekar7139 3 года назад

      Pls if you can backrest on Apr month since premium were more than 2500 pt on sell side do we need to buy premium away for 1000pts just half of whateve we have collected

  • @bhogilalgorhiralalgor3914
    @bhogilalgorhiralalgor3914 2 года назад

    What a knowledge 👌👌👌 mai लास्ट 4 days से आपका वीडियो लगातार देख रहा हूं लगता है मेरे भगवान ने मेरी सुन ली मुझे कॉल पुट ऑप्शन में बहुत लॉस हो रहा था आज मैने पहली बार 3500 रुपिया का प्रॉफिट देखा 👌👌👌

  • @pravinshirode5919
    @pravinshirode5919 3 года назад

    Nice work no graph no research only strike price imaging
    The one who follows the right method get easy success

    • @IBBMIndia
      @IBBMIndia  3 года назад

      Thanks, Keep learning!

  • @percybillimoria6878
    @percybillimoria6878 2 года назад

    LOVELY EXPLANATION. I WILL TRY THIS...

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Sure, follow discipline and consistency

  • @nikhildutta5354
    @nikhildutta5354 2 года назад +1

    At the exp day trade to close and renew for next exp at the strike price?

  • @OpSenseIndia
    @OpSenseIndia 3 года назад +2

    Request you to pls clarify this doubt :
    Day 1 : BN at 35000, PE & CE of 35000 strike sold for Rs.750 each & bought PE & CE of 33500 & 36500 at Rs.200 each as hedge.
    Day 2 : BN falls to 34000, exited from 35000 straddle & shorted 34000 straddle. BN CLOSES AT 34900. Since it did not move by 1000 points, we would take no action & carry the position of short 34000 straddle overnight.
    Day 3 : BN gap-up opens 1000 points up at 35900. THE PROBLEM WOULD START HERE. The CE of 34000 strike will have to be bought when BN would be trading at 35900 - BN would have already moved 1900 points before we could take action 'to sell 1000 points away straddle'. In such case, the loss of shifting straddle would be around 1000-1200 instead of 200. How to manage this risk?
    Pls. clarify. Many Thanks in advance.

    • @Sandy-rv9tv
      @Sandy-rv9tv 3 года назад

      This is rare to gap-up 1,000 or down 1,000 points
      If it gaps like this, one option is to do nothing for your straddles, that is you didn't get chance to sell at 34,900 then don't sell at 35,900 either.
      Remember you still have your CE option which will give you profit

    • @IBBMIndia
      @IBBMIndia  2 года назад

      @MMD We will cover your query in our upcoming videos. Stay tuned!

  • @nandnagp
    @nandnagp 2 года назад

    Very very simple style of explaining Thank you

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Welcome sir, download the IBBM app for better understanding from play store

  • @Deep_6221
    @Deep_6221 3 года назад +4

    Dear sir
    जो जोड़ा हम लगभग 1450 में बेचा है जैसे जैसे हम 1--2 एडजस्टमेंट करते है 1000 पॉइंट पे दोबारा sell करने पर उनकी वैल्यू बजी कम हो जाएगी । अपने पूरी वीडियो में 1st टाइम वाला ही कंसीडर कुया है
    Please sir batane ka kast kare 🙏🙏

    • @kcchoudhary150
      @kcchoudhary150 3 года назад

      @@riddhisiddhiearnings806 bhai agar hamne any time sell kar rakha hai.. To jo premium time decay ki wajah se kam ho raha hai.. Uska fayda hamko hi to mil raha hai.. Because seller hai hi hai na.. Pure 1400 ki time value kahi to milegi.. Jitne bar manege karenge utne tukdo me milegi.. But ultimately melegi na

    • @IBBMIndia
      @IBBMIndia  3 года назад

      will share the follow up video soon

  • @riteshkumarsaini5299
    @riteshkumarsaini5299 3 года назад +9

    Sir, at the time of throwing new straddle after 1000 point difference in either side, will not get premium of 1400 since we will be moving towards expiry. Further, whatever premium we will receive in the last jump, what is probability that the both side premium will be zero. Request guidance please.

    • @garryonlylogic7598
      @garryonlylogic7598 3 года назад

      Good question.

    • @IBBMIndia
      @IBBMIndia  3 года назад +2

      1000 point gap up/down, will create further VIX in next pair and you will get better returns

    • @nikhilranjanbiswaseureka
      @nikhilranjanbiswaseureka 3 года назад +1

      Good question. He is unable to clear the doubts. As we are reaching towards the expiry the premium will come down also how the premium received will add up to our profits. Ce and pe
      both can not be zero at the ecpiry.

    • @hreddy2020
      @hreddy2020 3 года назад

      Premiums mayn't become zero, but minimal premium will be left if at all...

    • @ChilledIncognito
      @ChilledIncognito 2 года назад

      @@IBBMIndia what if the sum of premiums is less than 1000 rs? Should we still wait for 1000 pts for adjustment?

  • @laxsri
    @laxsri 3 года назад +9

    The time value you are considering for 1443 is the same which is bringing loss of -200 points in every move (1000 points wala), so why are we double counting? We are booking a loss of -200 points against the sold joda of 1443 only, right?

    • @TheANILbisht
      @TheANILbisht 3 года назад +1

      200 pts Loss in current call put pair and profit will be in next call put pair ...either on 1000 pts up move pair or 1000 pts down move pair

    • @laxsri
      @laxsri 3 года назад +1

      @@TheANILbisht so where is the gain being talked about?

    • @satishsharma3188
      @satishsharma3188 3 года назад +1

      @@laxsri even I can't understand where is the profit if market goes up 1000 then down 1000 then again 1000 up and then expries 500 down . So where is profit in fact loss of minimum 1200-1300 point

    • @satishsharma3188
      @satishsharma3188 3 года назад

      Clear h to bata dena bhai log

    • @TheANILbisht
      @TheANILbisht 3 года назад +3

      @@satishsharma3188straddle sell kiya..1000 pts move aaya toh buy kar loge aur approx 200 pts Loss ab dobara bhi toh straddle sell karoge...1000 pts move k baad.
      Toh fir se approx 1400 pts milenge ..

  • @chitalshah855
    @chitalshah855 3 года назад +4

    In which situations I will incure losses?

    • @digikahani
      @digikahani 3 года назад

      If the market gapup or gap down when banknifty opens more than 1000+ gapup or gapdown which is not a regular phenomenon don't think which will happen rarely or not happens regularly.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      @Chital we will cover your query in our upcoming videos. Stay tuned!

  • @tvenkataramanarao5526
    @tvenkataramanarao5526 3 года назад

    Super super super Anuj ji. May God bless you and your family.

  • @navneetyadav9038
    @navneetyadav9038 2 года назад +1

    Dear Anuj pls make video on adjustments in option trading

  • @shakilanjum8935
    @shakilanjum8935 3 года назад

    Excellent strategy sir,

    • @IBBMIndia
      @IBBMIndia  3 года назад

      Thank you. Keep learning!

  • @dr.vasusharma4605
    @dr.vasusharma4605 Год назад +2

    best strategy of all times sir...... i've been making consistent money with this......thank you so much for giving us real knowledge....your teaching style is very simple and best....i've improved my trading psycology just because of u...sir, you’re best

  • @nishchintkumar2744
    @nishchintkumar2744 3 года назад +9

    Backtest complete last 30 month from 04/20 to 09/21, Net profit 4.10 lakh, loss only in 9 month out of 30. Overall its good statergy..thanks for uploading 🔥🙏

    • @IBBMIndia
      @IBBMIndia  3 года назад

      all the best

    • @jimmynayak3761
      @jimmynayak3761 2 года назад +1

      4.1 lac on how many lots? And 4.1 including 9 months loss?

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

      hello

    • @faisalp979
      @faisalp979 2 года назад

      Iv been doing this for 8 months iv doubled my capital. U guys are missing the point here. Its consistent trading which matters.mechanical trading.

    • @vivekanandamandal3424
      @vivekanandamandal3424 2 года назад

      As per your date it is only 18 months how it is 30 months? Average 3-5% gain of the deployed capital in a month is sufficient . Paper trading/back test is different from actual trading you will realised this when you actually trade.

  • @nikhildutta5354
    @nikhildutta5354 2 года назад

    When to adjust buy side

    • @IBBMIndia
      @IBBMIndia  Год назад

      Explained in the video please watch again carefully

  • @brishisharma
    @brishisharma Год назад

    banknifty price should be spot or future?

  • @VishalSharma-px1bn
    @VishalSharma-px1bn 3 года назад +1

    gud vdo sir......
    i liked it.......
    but seeing some grave concerns in the comment box, sir I think you need to make a vdo on iron fly adjustment.....
    do agree that 2-3 months per year, this will go very wrong, but with proper iron fly management, those losses can be brought under 4000.............
    Keep up the gud works...........

    • @IBBMIndia
      @IBBMIndia  3 года назад

      sure, will make a follow up video soon

  • @rajivkamra6408
    @rajivkamra6408 3 года назад

    Good robotics strategy...
    Excellent sir

  • @rashivishnoi
    @rashivishnoi 3 года назад +3

    You are a great teacher .God bless you and thank you very much to teach us, salute you sir

  • @faisalp979
    @faisalp979 3 года назад

    Today galla day sir..thanks to u

  • @rajputsetul
    @rajputsetul 2 года назад

    We have to sell two strike price of monthly expiry? And same for hedging?

  • @Varad_hast
    @Varad_hast 3 года назад

    Sahi h sir.......🙏🙏🙏🙏

  • @SunilSharma-ok4go
    @SunilSharma-ok4go 4 месяца назад

    Closed out August trade with +10.2% return. No adjustment was needed since markets were sideways so nice theta decay. Went into Sept expiry with new trade. Make a mistake placing market order so got a bad execution. Lesson learnt. High MTF margin rates still an issue. Looking for a low MTF rate broker.

    • @IBBMIndia
      @IBBMIndia  4 месяца назад

      Follow rules and discipline

  • @PappuSrinivas697
    @PappuSrinivas697 3 года назад

    Whether follow up video uploaded ? If yes, what is the thumbnail ?

    • @IBBMIndia
      @IBBMIndia  3 года назад

      ruclips.net/video/OKG3crdVZ4c/видео.html

  • @jaisaramit
    @jaisaramit Год назад

    sir, best video. thanks.

  • @khandwawale4694
    @khandwawale4694 Год назад

    Sir which one is better this strategy or chameleon. Pl guide.

    • @IBBMIndia
      @IBBMIndia  Год назад

      Every strategy is better subject to same discipline, same volume for a longer period and psychology

  • @faisalp979
    @faisalp979 3 года назад

    Need help on intraday straddle where shall i post?

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      mail info@ibbm.co.in

  • @raghavtantry6272
    @raghavtantry6272 2 года назад

    Nice strategy...

  • @jackydhuria5581
    @jackydhuria5581 3 года назад +1

    Apne 1000 point k bd sell ki hui legs buy krne ko bola h agr hum 900 points aa gye or agle din mrkt 500 ya 600 points upr ya niche khul jaye to hum 1500 points pr aa jayenge tb loss b kafi ho raha hoga tab kya kre

  • @vishwajeetkundu864
    @vishwajeetkundu864 3 года назад +2

    Another major risk of adjustment at end of month near to expiry, because that time premium was very low and if bank nifty give any big move huge loss have to be seen .

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      in last week, you need to move to next month options

  • @lakdawalaashish4053
    @lakdawalaashish4053 3 года назад +1

    Sir.mene fut me 1 din se ye strestrgi bani hai
    37000 call
    37000 put sell riceve primiuam 2000 liya
    35000 put
    39000 call protect kiya
    Ab 1 sridal 5 din me Cheng karni padi
    38000 call
    38000 put me shifting kiya
    Aaj b nifty 39000 ja rahi hai
    Ab me
    39000 call
    39000 put shifting
    Ab mera 39000 ka call buy hai vo pojison nill ho jati hai
    Ab is shuchvesion me call protect kasi hoga sir. Plz reply

    • @IBBMIndia
      @IBBMIndia  2 года назад

      We will cover your query in our upcoming videos. Stay tuned!

  • @ashgame
    @ashgame 3 года назад +1

    I am doing trade on this setup, My trades are on 1st Sep I sold 36500 CE @ 721 and PE@724 and bought 38000 CE and 35000 PE. Now on 17th Sep market closed at 37800 and made high of 38000. So when doing adjustment do I sell 38000 CE&PE as market moved more than 1000 points and don't see market around 375000. If I do adjustment and sells 38000 CE I will be out of my earlier bought 38000 CE leg. So how do we do adjustment in these cases. Where market moves more than 1000 points and reaches to your bought CE or PE.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      follow strict rules and fund management

  • @abhishekbhatia1162
    @abhishekbhatia1162 2 года назад

    is it suggested to do it in weekly expiry (all 4 legs) ?

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Better for monthly expiry

  • @investorash6204
    @investorash6204 3 года назад +1

    Sir, Monthly options are very illiquid. So there is big gap in buying and selling rates. Will that cause a problem?

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      always trade in multiple of 500 strikes

    • @investorash6204
      @investorash6204 3 года назад

      @@IBBMIndia ok sounds good

  • @aartimattu4658
    @aartimattu4658 Год назад

    Can we deploy this strategy on nifty as well...is there any video

  • @gurdeepsingh3083
    @gurdeepsingh3083 Месяц назад

    Awesome

  • @mehulmandirwala2318
    @mehulmandirwala2318 2 года назад

    Is this nest terminal?

  • @SunilSharma-ok4go
    @SunilSharma-ok4go 5 месяцев назад

    Thank you for sharing the strategy Mr Anuj. You explaiined it v well and I started with 60 lots end of July'24 (for Aug 28 expiry). Currently I am +4.5%. Should I close the trade out or should I leave partial quantity open. Thank you for your guidance.

    • @IBBMIndia
      @IBBMIndia  5 месяцев назад +1

      Good, please diversify also, put some volume on RSI, 52,32 and BB as taught by IBBM along with magical line set up, for more details connect 9891145801

  • @nileshaarote9678
    @nileshaarote9678 2 года назад

    buying side ka pe and ce expiry close hone ke baad konsa buy karna hai

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Move to next week expiry

  • @sunnyrakhrai7183
    @sunnyrakhrai7183 3 года назад

    Sir isme jo strike change krege o closing ke basis pr krege ??

    • @IBBMIndia
      @IBBMIndia  3 года назад

      as soon as price comes on screen

  • @rajeshbhaivaidya204
    @rajeshbhaivaidya204 3 года назад

    sr.market up move karega niche ka put buy kiya hai vo hame uper le jana padega,agar nahi liya aur market crash huva to loss hoga.pl reply

    • @IBBMIndia
      @IBBMIndia  3 года назад

      you will make bumper profit because hedge position is same

  • @aman198377
    @aman198377 3 года назад

    Please share link of Nifty too for same strategy ? what will be points like will it be 1000 points for Nifty too

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      will make the new video for nifty soon' please subscribe amd press bell icon for updates

  • @mohabhishal
    @mohabhishal 2 года назад

    Sir, Please tell the time of exit when 1000 points move is seen. Immediate or at the end of day. Bcos we see the screen once in a day and we may not spot the move at that moment

    • @IBBMIndia
      @IBBMIndia  2 года назад

      You can do that according to your suitable timings

  • @jackydhuria5581
    @jackydhuria5581 3 года назад +1

    Har bar hmara straddle 1400 points me to sell nhi hoga uske liye kya solutions ya staturgy h apne vdo me pura clr ni kia...

    • @IBBMIndia
      @IBBMIndia  3 года назад

      yes, will make a follow up video with all queries

  • @pavangongale7139
    @pavangongale7139 3 года назад

    Guys, I backtested this strategy for one year and it is giving very good returns with very small margin upto Rs 50000

    • @90aloke
      @90aloke 3 года назад

      what was the monthly return you were getting? And how were the results when the market moved in 'V' ?

    • @IBBMIndia
      @IBBMIndia  3 года назад

      correct

  • @mkr5733
    @mkr5733 3 года назад

    Any stop loss etc

    • @IBBMIndia
      @IBBMIndia  2 года назад

      this is based on shifting the strikes amd discipline

  • @navneetsinha227
    @navneetsinha227 Год назад

    Sir What should be SL for this strategy? What should be maximum loss taken in a trade?

    • @IBBMIndia
      @IBBMIndia  Год назад

      SL explained in the set up, please watch full video without skip

  • @ankurtalati3021
    @ankurtalati3021 3 года назад +1

    Sir hamara maximum loss kitna ata hai adjustment ke baad aur dusri baat till expiry tak rakhna hai ya bich me bhi square off karna hai

    • @IBBMIndia
      @IBBMIndia  3 года назад

      will make a follow up video for the same with all queries

    • @nikhilranjanbiswaseureka
      @nikhilranjanbiswaseureka 3 года назад

      Should we square off? Or allow it to automatic square off? Is there any problem if we just leave it to the end?

  • @rahulchoudhary2617
    @rahulchoudhary2617 Год назад

    Hi anuj sir ,
    Sir aapne ye 1000 point hi kyo lie hain
    Kya aap bata skte ho ki 1000 point kr baad hi adjustment kyo krni hain us se kam ya jyada kyo nahi sir
    Aur aapne ye 1000 point kase nikale hain
    Please sir tell me
    Example
    40000 ce sell 700
    40000 pe sell 700
    41500 ce buy 300
    38500 pe buy 300
    Is case me
    Kya hume 800 point ke move pr shifting krni hain
    Sir please ye 1000 point waha logic ka reply kr do
    Aap bhut achi video banate ho thank you so much sir ji

  • @dr.vasusharma4605
    @dr.vasusharma4605 10 месяцев назад

    Sir can i use this setup in USDINR with regular adjustment on breakeven points. Will that be profitable??

    • @IBBMIndia
      @IBBMIndia  10 месяцев назад

      Follow currency set up given in IBBM app for currency strategies

  • @aman198377
    @aman198377 3 года назад

    Sir Nifty ke liye kaunsa a video hai Nifty mein kya 500 point pe shift karenge jaise BNF mein 1000 pt hai

  • @khandelwalaniel
    @khandelwalaniel 2 года назад

    Dear Sir saw ur videos of octopus n star fish. Have some questions.
    In octopus when to shift the octopus? What are the expected return on capital deployed? What are precautions? In star fish What are the return expected

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Average safe return is around 3 percent per mnth

  • @luvranish
    @luvranish 3 года назад +2

    Good explanation. But Zerodha doesnt allow 35000pe and 38000 ce at present

    • @rajendragupta7173
      @rajendragupta7173 3 года назад

      It will allow if you sell first then buy

    • @IBBMIndia
      @IBBMIndia  3 года назад

      you can find another good broker

  • @digikahani
    @digikahani 3 года назад

    I have tested ( paper trading)It is showing profit October Rs44600, November Rs4250, December Rs23100.total Rs 71950 per lot.I will update after 3 months.others plz update as well it's good strategy.

  • @ramkumaryadav2416
    @ramkumaryadav2416 3 года назад

    sir pl suggest if tgt of 3% is hit before expiry, then exit from trd or hold till expiry.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      keep on doing according to rule

  • @shyamkhandelwal8550
    @shyamkhandelwal8550 3 года назад

    Anuj ji pls tell me es strategy me loss kha hoga or vo loss point kya hoga

    • @IBBMIndia
      @IBBMIndia  2 года назад

      there is no word in the market name called loss' it is always mtm management with proper fund size' discipline and rule

  • @SurajSingh-rs2vs
    @SurajSingh-rs2vs 2 года назад

    Nice strategy

  • @nikhilranjanbiswaseureka
    @nikhilranjanbiswaseureka 3 года назад

    At closing how can the full premium received will become zero? One side of the straddle will still have good value. Please clarify this issue.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      yes ' correct' please see the video carefully' explained there

  • @atulgoodify
    @atulgoodify 2 года назад

    Just need to confirm like when we receive 1500 plus movement do we need to change hedge option too or that need to keep whole month as it is

    • @IBBMIndia
      @IBBMIndia  2 года назад +1

      We need to change hedge also, another form can be don’t move hedge, and take another hedge in the ratio

  • @nirennaik1041
    @nirennaik1041 2 года назад

    Does this strategy work with Nifty, how to select ce and pe?

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Will make separate video for the same

  • @atulgoodify
    @atulgoodify 2 года назад

    But once sell both the option and when we receive 1000 moment every time we need to buy one hedging

  • @nitinnarula9816
    @nitinnarula9816 2 года назад

    Sir jo near 500 Lena hai wo banknifty spot se lyna hai yha bank Nifty future se lyna hai please reply 🙏

    • @IBBMIndia
      @IBBMIndia  2 года назад +1

      Spot

    • @nitinnarula9816
      @nitinnarula9816 2 года назад

      @@IBBMIndia sir ak baat aur samjh nahi aae jo hunme 1000 point uper nechy hone par transfer karna hai wo colseing base par karna hai yha runing market mai he karna hai please reply 🙏

  • @rajiv1191
    @rajiv1191 2 года назад

    Cnn we do this on weekly expiry?

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Will share different strategy for weekly expiry

    • @rajiv1191
      @rajiv1191 2 года назад

      @@IBBMIndia Thanks looking forward to your kind revert. Rgds Rajiv

  • @soorajkumarpandit6807
    @soorajkumarpandit6807 2 года назад

    1 St sell options sell hence market go 1000 point up side get new options sell 1st option exit ya if hold

  • @asatirtha
    @asatirtha 2 года назад

    very well explained; can i start the trade at middle of month / willl this work for USDINR

    • @IBBMIndia
      @IBBMIndia  2 года назад

      yes you can with proper rule and discipline

  • @himkartech
    @himkartech 3 года назад

    thanks will test this

    • @IBBMIndia
      @IBBMIndia  3 года назад

      Sure, keep learning.

  • @MeltingTheta
    @MeltingTheta 2 года назад

    Hello sir, can we take next month (2nd month) expiry and shift at every 2000 points move? Please explain.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Go for next month in last week of expiry

  • @srinivasareddy8292
    @srinivasareddy8292 3 года назад

    thank you for your great video

  • @Statusstar_Aalok
    @Statusstar_Aalok 3 года назад +1

    Sir due to theta decay how can we get 1400 points premium every time. If 1000 point move comes in month end short straddle premium will not be 1400. Pls Clear my doubt

    • @IBBMIndia
      @IBBMIndia  3 года назад

      sure, will make a follow up video in detail for the same

  • @ownworld7804
    @ownworld7804 3 года назад +1

    sir can you please tell me that which bank nifty we need to take as reference spot or bank nifty future to create the straddle while doing 1st or 2nd adjustment

  • @lakdawalaashish4053
    @lakdawalaashish4053 3 года назад

    Sir
    Abhi MKT highly volatile hai.mene ye stretergi 18 ke iv pe tred liya hai.iv abhi 21 hai to jo stredal 1000 pe move Karna hai ya stredal KO reng iv ke hishb se 1200. 1300 1400 1500 kis move PR sifting kare sakte hai.plz reply sir

    • @IBBMIndia
      @IBBMIndia  2 года назад

      yes correct' it depends at VIX

  • @hemantbehl8417
    @hemantbehl8417 3 года назад +1

    Sir should one wait for the shifting on closing basis or to shift the position as & when spot reaches during the day?

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      as and when spot reaches

  • @devkumar-re3td
    @devkumar-re3td 3 года назад +1

    EXCELLENT SIR, YOUR IBBM IS THE BEST CHANNEL FOR TRADING ON WHOLE RUclips.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      Thank you so much. Keep Watching!

  • @Sakura-oe2cd
    @Sakura-oe2cd 3 года назад

    Sir, I am not able to trade the far away buy trades from Zerodha terminal. Pl. suggest what can be done

    • @IBBMIndia
      @IBBMIndia  2 года назад

      @Minal we will cover your query in our upcoming videos. Stay tuned!

  • @Varad_hast
    @Varad_hast 3 года назад

    Thank you....

  • @guardianseye9341
    @guardianseye9341 3 года назад

    Where I backtested 5year data, plz suggest

  • @capric0620
    @capric0620 3 года назад

    Sir zerodha doesn't allow so much out of money option to buy. Can you pls suggest broker who allows the same

    • @hemant282
      @hemant282 3 года назад

      every broker otherthen that shitty broker allows. I dont understand why retailers are struck with zerodha, zerodha is like having a iphone for calling, macbook for laptop, not everyone can afford it. I hate zerodha for conspiring againt retailers and the result is 0 intraday margin, because they cannot provide 5x margin to their huge customer base.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      @Vinay we will cover your query in our upcoming videos. Stay tuned!

  • @tilp6733
    @tilp6733 3 года назад

    Sir can we exit one leg in basket order as u mentioned.

  • @bhogilalgorhiralalgor3914
    @bhogilalgorhiralalgor3914 2 года назад

    Amazing 💕👍👌

  • @vijaybhalodiya9119
    @vijaybhalodiya9119 2 года назад

    Sell me 1100 se 1400 ka total premiuim milna jaruri hai kya? Agar shifting me 1000 ke niche mile to total premiuim mile to kya karna hai?

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Will make a video soon

  • @saviodsouza4654
    @saviodsouza4654 2 года назад

    If movement of 1000 points on expiry day comes or later in the day of expiry should we still move our short strikes?

  • @surendrasinghmanaral6151
    @surendrasinghmanaral6151 3 года назад +1

    Great effort for retail traders🙏

  • @nbahighlightscomedy
    @nbahighlightscomedy 3 года назад

    Sir, how to pull historic options data? Any api ya any simulation for data.

    • @swapn1986
      @swapn1986 3 года назад

      Paid he opstra app

    • @IBBMIndia
      @IBBMIndia  3 года назад

      you can go for opstra or sensibull

    • @VijayDhiman557
      @VijayDhiman557 3 года назад

      Opstra

    • @vipparesh
      @vipparesh 3 года назад

      Can opstra or sensibull id 's be shared?

  • @abhiLsk
    @abhiLsk 3 года назад +2

    Sometimes in straddle portion of this stragey one side premium increases rapidly but other side premium doesn't fall as it happened in Feb 2021.what one shd do in such conditions?

    • @adithyavardhan1483
      @adithyavardhan1483 3 года назад

      I backtested this strategy on feb 2021 and the result is 3000 approx profit with one lot where all other strategies has given thousands of loss. You can backtest in opstra if you want to.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      follow for whole year

    • @surugnair
      @surugnair 3 года назад

      @@adithyavardhan1483 Please test for Dec-20 & Apr-21 also

  • @bizoykumarmohanta4263
    @bizoykumarmohanta4263 3 года назад

    But sir zerodha don't allow to buy far OTM CALL & PUT. How We can trade?

  • @vinodbhagwat
    @vinodbhagwat 3 года назад +1

    Nice strategy sir , For which range I must cut the position of nifty?

    • @thirstysol
      @thirstysol 3 года назад +3

      The premiums you collected by writing atm ce pe

    • @IBBMIndia
      @IBBMIndia  3 года назад +1

      will make a follow up video for nifty soon

  • @chintanshah7761
    @chintanshah7761 3 года назад +1

    After movement of 1000 points in one direction, we have to again sell..
    But item we are going to sell is 4 weeks from that day. And at times we don't have enough volume. What to then??

    • @73charaka
      @73charaka 3 года назад

      There always are good volumes in 500 strikes.. Even in far away months

    • @IBBMIndia
      @IBBMIndia  3 года назад

      volume is not a problem in banknifty

  • @prakashradhakrishnan4842
    @prakashradhakrishnan4842 3 года назад +3

    Thanks for the Video. This is my long time request -- I request you please take this as a suggestion - There are many people who don't understand Hindi -- At least for them you should recap the strategy once in English. Its really tough to understand what you are saying as you say the numbers also in Hindi!! Please consider.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      sure sir, Lot of work loading at our team, will share in english soon

    • @हिमांशुRana10
      @हिमांशुRana10 3 года назад +1

      English में वीडियो बनाने के बजाय कृपया अंग्रेजी में सब टाइटल्स रख दें । इस देश मे अंग्रेजी से ज्यादा लोग हिंदी समझते है ।
      जिनको हिंदी नही आती वे सब टाइटल्स पढ़ लेंगे ।
      E Learn Markets चॅनल ने यही किया है ।
      धन्यवाद ।

    • @prakashradhakrishnan4842
      @prakashradhakrishnan4842 3 года назад

      @@IBBMIndia Doing a video separately in English is not my request. Possible please recap the core concept once in English. So we all will understand it clearly. Thanks.

  • @nandnagp
    @nandnagp 2 года назад

    Sirji, Agar 500 ke multiple ka sauda karenge toh iss mein ce ya pe koi ek ITM ho jayega toh uss kaaran margin ka bahut farak par jataa hai. Humne toh aapki videos dekh kar 1lakh invest Kiya hai. Woh toh ek hi saude mein Kareem 80% lag jataa hai.

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Agreed, you need to have margin to be profitable in stock market

  • @jitendrasanghavi7280
    @jitendrasanghavi7280 3 года назад

    Can this be done in weekly expiry

    • @IBBMIndia
      @IBBMIndia  3 года назад

      no, this is a monthly expiry game

  • @gulpfit5603
    @gulpfit5603 3 года назад

    Sir do we not get the time decay in the options sold...if yes what would be the income generated by time decay.. approximately. Thanks in advance.

    • @IBBMIndia
      @IBBMIndia  3 года назад

      that will depend at market closing

  • @hiteshnakarani2712
    @hiteshnakarani2712 2 года назад

    2000 point gap up and gap down open hua to what is this position senerio??

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Since it is fully hedged so no issues, change the octopus position according to the rule of new octopus at 9:30

  • @investorash6204
    @investorash6204 3 года назад

    I m not able to buy month end calls and puts which are far away in Zerodha. How can I solve this problem ?

    • @digikahani
      @digikahani 3 года назад

      Go for any other broker

    • @IBBMIndia
      @IBBMIndia  2 года назад

      We will cover your query in our upcoming videos. Stay tuned!

  • @atulsaxena9244
    @atulsaxena9244 3 года назад

    Jab shift kare ge call put sell har 1k point par tab call and put again but nahi karni h kya sir? Hedge karne k liye every 1k point par

    • @IBBMIndia
      @IBBMIndia  2 года назад

      We will cover your query in our upcoming videos. Stay tuned!

  • @investwithamit4664
    @investwithamit4664 3 года назад +1

    When to shift if traded in nifty?

    • @IBBMIndia
      @IBBMIndia  3 года назад

      will make a follow up video for nifty

  • @csn25
    @csn25 2 года назад

    Also, please let us know the best time and day to exit the trade? is it bychance a day before expiry or on the expiry day and approximately what time (morning hour or evening hour?)...
    Also, Could you pls. provide us the link for intra day Stock trading strategy like you have published one for the options.
    And, how to choose the best stocks for the intra day? Is it a good thing to do intra day trading based on top gainers and top losers published each trading day at NSE web site? or is there any better way to identify the good stock for intra day trading? Thank you...🙂

    • @IBBMIndia
      @IBBMIndia  2 года назад

      Your trade will exit automatically on expiry day, for stock intraday, we will make a video soon

  • @gauravkedia5345
    @gauravkedia5345 3 года назад

    I have seen yours camelian strategy also. Both are based on shifting concept. Sir I want to know which strategy is better to follow in current market situation.

    • @IBBMIndia
      @IBBMIndia  2 года назад +1

      every strategy is good subject to proper fund management and rule

  • @AmitSingh-xz4uk
    @AmitSingh-xz4uk 3 года назад

    Anuj ji , maine 38,000 pe joda sell kiya tha, 36,000 ki put buy ki thi or 40000 ki call buy ki thi,aaj jab 40,000 ka joda sell kiya to meri 40,000 ki call position end ho gaye hai , ab mai kya karu, pls suggested me

    • @subramanianalagappan9731
      @subramanianalagappan9731 3 года назад

      Amit Ji, I feel sorry for your position, but what you did finally, please share

    • @IBBMIndia
      @IBBMIndia  2 года назад

      We will cover your query in our upcoming videos. Stay tuned!