OPTION TRADING CALLS

 

KINDLY TRACK MY OPTION CALLS:

CALL:- 1. POSITIONAL PAIR TRADE IN STOCK OPTION : BUY ICICI OCT 1000 PE @ 15-18  & BUY ICICI OCT 1100 CE @ 29-31 LOT SIZE =250 TOTAL MARGIN REQUIRED 4500+7750= 12250/- TIME FRAME : TILL OCT EXPIRY(OR MID OCT WHEN PROFIT INCRESES )

CALL:   2. POSITIONAL PAIR TRADE IN STOCK OPTION : BUY AXIS BANK OCT 1100 PE @ 29-32  & BUY AXIS BANK OCT 1200 CE @ 31-33 LOT SIZE =250 TOTAL MARGIN REQUIRED 8250+8000= 16250/- TIME FRAME : TILL OCT EXPIRY(OR MID OCT WHEN PROFIT INCRESES ) (QUIET RISKY AS THERE IS LOW VOLUME)

CALL:   3.  POSITIONAL RISKY PAIR TRADE IN DIFF STOCK OPTION : BUY AXIS BANK OCT 1100 PE @ 29-32  & BUY ICICI BANK OCT 1100 CE @ 31-33 LOT SIZE =250 TOTAL MARGIN REQUIRED 8250+8250= 16500/- TIME FRAME : TILL OCT EXPIRY(OR MID OCT WHEN PROFIT INCRESES )

CALL:   4. POSITIONAL PAIR TRADE INDEX OPTION : BUY NIFTY OCT 5700 PE @ 105-108 & BUY NIFTY OCT 5800 CE @ 85-88 LOT SIZE = 50 TOTAL MARGIN REQUIRED :4400+5400=9800/- TIME FRAME : TILL OCT EXPIRY(OR MID OCT WHEN PROFIT INCRESES )

PLS NOTE:  ALL CALLS IN OCT SERIES & PURE POSITIONAL WITH RISK OF MARGIN AMOUNT.

* T & C APPLY.

** CALLS ARE ONLY FOR STUDY PURPOSE.

*** READ T & C BEFORE FOLLOWING ANY OF OUR CALLS.

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