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Safest POSITIONAL OPTIONS TRADING STRATEGY (BACKTESTED USING ALGOTEST) | TANVEER SINGH 

Tanveer Singh
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TIME BASED STRADDLE 2.0!! Adjusted to Tackle 2024 VOLATILITY
• TIME BASED STRADDLE 2....
ONLY Guide you need for DELTA NEUTRAL TRADING STRATEGY
• ONLY Guide you need fo...
#algotest #bankniftyoptionstradingstrategies #algotrading #stockmarket
#optionsellingstrategies #optionselling #optionstrading
Disclaimer: Only to be used for learning Purpose
Trading Related Queries , Get in touch with me at below links
/ tanveersingh643
/ tanveersingh04

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16 окт 2024

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Комментарии : 25   
@abhileshchandra5058
@abhileshchandra5058 3 месяца назад
I do similar strategy every night dte1. Entry 322 n exit 920. Atm/otm1 short with hedge otm8/9. 30% Sl on the sold legs..overall startegy loss setting of 2k per lot. Have generated 1-2% per month for last 18 months. I deploy less capital overnight so that var is capped at 20-22%..thank you for this video anyways!!
@ashwetmandve6649
@ashwetmandve6649 Месяц назад
Hello could you explain how does this work
@pavanchinna2084
@pavanchinna2084 3 месяца назад
Most underrated channel
@strom_rider_stk
@strom_rider_stk 3 месяца назад
I heard AlgoTest dont allow positional trading
@vnk1234
@vnk1234 3 месяца назад
Why you haven't created it for Bank nifty ?
@vnk1234
@vnk1234 2 месяца назад
Please create positional systems with all indexes combined. Including BANK NIFTY. if any positional system with 3% drawdown and 35-40% ROI will be amazing. You haven't included BNF and Midcap.. Please include it and it might lead to 3-4% DRAWDOWN but for sure will generate 35-40% ROI .❤ Waiting eagerly for any other positional strategies on your channel.!🎉
@vnk1234
@vnk1234 3 месяца назад
Saw your many videos today.. Nice information bro. But i have doubt.. How come for 10% lower ckt our VAR will be 2% ? Also want to know why you haven't created anything for Bank nifty ?
@tanveersingh7153
@tanveersingh7153 3 месяца назад
By Controlling the Position Sizing, Even if the margin requirement to deploy a lot is 50K lets say for an example , Allocate 1L for 1L that way if the absolute Loss is 2K , it is 2% and if the absolute loss is 4K then Use 2L for 1 Lot. Your risk is your own choice , Alter it with your position sizing.
@vnk1234
@vnk1234 3 месяца назад
@@tanveersingh7153 thanks. For response bro.! You are doing great 👍 But I have a question , why you haven't added Bank nifty ?
@go4sheel
@go4sheel 3 месяца назад
30% returns with max 2% risk????
@vnk1234
@vnk1234 2 месяца назад
Sir, please share few more positional systems with close hedges.
@vnk1234
@vnk1234 2 месяца назад
Please create few more positional strategies with 3-5% historical DD.
@go4sheel
@go4sheel 3 месяца назад
algotest is not reliable, why not test on stockmock?
@radium990
@radium990 2 месяца назад
Is stockmock more reliable ?
@go4sheel
@go4sheel 2 месяца назад
@@radium990 yes, you can check your individual trades of backtest on both platform and compare
@paramjeetkaur8077
@paramjeetkaur8077 3 месяца назад
Very informative 👏 ❤
@maheshkumarmayya
@maheshkumarmayya 3 месяца назад
What will happen if 10% circuit over night😊
@tanveersingh7153
@tanveersingh7153 3 месяца назад
Like I said Value at risk is 2% , so even if 10% drop happens Next Morning max you can loose is 2% . Its a closely hedged positional strategy
@maheshkumarmayya
@maheshkumarmayya 3 месяца назад
@@tanveersingh7153 how only 2%? If we sell otm1 and buy otm5 gap is 200 points means 200 point max loss per quantity say for finnifty lot size is 40 then max risk is 8k which is more than 10%
@maheshkumarmayya
@maheshkumarmayya 3 месяца назад
@@tanveersingh7153 any reply to my msg? How var is 2% when gap between buy n sell are 4 otm strikes
@PKtrading69
@PKtrading69 3 месяца назад
​@@tanveersingh7153You will not be able to exit at 2% VAR if there is a gap up or gap down.
@vnk1234
@vnk1234 3 месяца назад
Are you sure about your answer brother ?
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