I am going short in nifty future. bought 11300 call and sold 11600 call to protect myself from unexpected gap up opening. I expect Nifty to open lower on monday and continue to drift lower to 10800 . My stop loss is 11210.
disclaimer : It's not an advise to buy or sell stock/index
Squared up 50 %short at CMP 10962. Holding rest with SL of cost to cost. 50% optio. Position squared up