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Option Trading Strategy Course - Trade in Nifty & Bank Nifty
Rating: 4.4 out of 5(42 ratings)
454 students

Option Trading Strategy Course - Trade in Nifty & Bank Nifty

learn how to generate regular income from short straddle and short strangle strategies with live trade examples.
Created byAkash Singh R
Last updated 9/2023
English
English [Auto],

What you'll learn

  • Learn 6 non directional strategies
  • What strategy can be done with different types of margins.
  • Strategies explanations with proper back testing results.
  • Case study videos

Course content

1 section15 lectures5h 39m total length
  • PART 132:08

    Learn directional and non-directional options strategies for Nifty and Bank Nifty. The course covers short straddle and other neutral plays, delta and time decay, live examples, backtesting, and risk management.

  • PART 240:37

    Backtest and optimize short straddle and short strangle strategies on nifty using seven months of data, evaluating entry and exit rules, stop-loss settings, and risk-reward outcomes.

  • PART 320:06

    Learn to build and backtest a short strangle on nifty, selling otm calls and puts, compare itm vs otm strikes, using a 50% stop loss across seven months' weekly results.

  • PART 429:00

    Compare short strangle and short straddle in neutral markets, including ATM vs OTM margins, and explore long straddle concepts with Bank Nifty and HDFC Bank examples.

  • PART 525:02

    Backtest a long strangle on Banknifty with weekly expiry, buying second otm call and put options at ₹200 premium, entry at 9:30, exit near 3:00.

  • PART 616:47

    Compare long straddle and long strangle to highlight margin, risk, and return differences. Explain the short iron fly hedge, its limited profit and risk, and entry and exit timing.

  • PART 725:01

    Explore non-directional option strategies on Nifty and Bank Nifty, including short iron fly, with backtesting over ten months using five lakh investments, stop-loss rules, and profit/loss insights.

  • PART 823:55

    Learn to implement a short iron condor on nifty with weekly expiry, including buying and selling legs, margin requirements, and backtesting results with stop-loss considerations.

  • PART 946:13

    Explore directional option strategies, including call and put buying and selling, ATM vs OTM strikes, margin and risk-reward, plus hedged spreads like bull and bear call and put spreads.

  • PART 109:55

    Explore the open range breakout strategy with an intraday screener, selecting 15-minute breakout stocks and managing risk with 1 to 1 or 1 to 2 risk-reward and stop-loss buffers.

  • PART 1121:01

    Follow a rule-based intraday option strategy with clear entry, exit, targets, and stop loss, backed by 21 days of backtested discipline to avoid emotion trading and manage risk.

  • CASE STUDY9:19

    This case study shows an expiry trade in nifty options closed after 24 hours with about 5 percent return on ₹1.8 lakh, hedging with four otm buys and atm sells.

  • CASE STUDY 27:03

    Presents a case study of expiry day trades on Bank Nifty and Nifty, analyzing volatility, decision making, option strategies, stop loss hits, and profits.

  • FIN NIFTY FRIDAY STARTEGY19:39

    Discover a Friday fin nifty strategy that sells one call and one put, with 100% stop loss, focusing on premium melting, live trades, adjustments, and backtesting profits.

  • FIN NIFTY EXPIRY DAY TRADE - CASE STUDY13:51

    This case study teaches an expiry day strategy for Nifty and Bank Nifty, including entry and exit timing, one-item strike adjustments, and backtested 2.2% profit on expiry Tuesdays.

Requirements

  • Learn with Entry time, exit time, with proper stop loss which can make you decent returns per month easily.

Description

TOPIC COVERED in option strategies

6 Non directional strategies

Entry time, exit time, with proper stop loss which can make you till 10-15% per month easily.

Strategies with proper back testing results.

2 directional strategies.

Delta decay and time decay.

Trading rules.

Risk management.

Difference between Call option buyer and seller.

Difference between Put option buyer and seller.

Directional option selling with small margin 23,000 - 30,000

What strategy can be done with different types of margins.

How account process works for an option seller.

Trading settlement process.

Difference between MTM and P&L.

Closing price vs settled price.

And Many more concepts are covered.


Rule to Trade :


Always Use a Trading Plan.

Treat Trading Like a Business.

Use Technology to Your Advantage.

Protect Your Trading Capital.

Become a Student of the Markets.

Risk Only What You Can Afford to Lose.

Develop a Methodology Based on Facts.

Always Use a Stop Loss.


If you are new to the world of "Investing & Trading", then our academy is what you need. We teach you about everything related to trading and investing, so that you can understand it better.


We will not make things complicated for you, but rather make them simple and easy to understand. You don’t need to be an expert on stocks or even an expert trader. We will show you how it all works and how it can help you make money doing something that doesn’t require much effort or time commitment from your part.

Who this course is for:

  • Option Intraday Traders & Positional Traders