1. Long call. In this option trading strategy, the trader buys a call — referred to as “going long” a call — and expects the stock price to exceed the strike price by expiration. The upside on this trade is uncapped and traders can earn many times their initial investment if the stock soars. Options contracts are considered risky due to their complex nature, but...
Options are a type of contract that gives the buyer the right to buy or sell a security at a specified price at some point in the future. An option holder is essentially paying a premium for the right to buy or sell the security within a certain time frame. Is option trading profitable? Options trading is a risky endeavor but can be profitable if done correctly....
What is PCR in share market? A Put-Call Ratio is a technical indicator used in derivative markets. It gauges market sentiment by comparing the open interest or trading volume of put options to call options. A high ratio generally suggests a bearish outlook, while a low ratio indicates a bullish sentiment. A PCR value below 1 is indicative of the fact that more...
RSI Divergence occurs when the Relative Strength Index indicator starts reversing before price does. A bearish divergence consists of an overbought RSI reading, followed by lower high on RSI. At the same time, price must make a higher high on the second peak, where the RSI is lower. If used correctly, RSI divergence can be profitable, providing early signals of...
– Option Chain Analysis can be used to find out the actual trend of the particular stock or index. Usually institutions and big funds sell options. By finding out which strike has more open interest, we can actually understand the support and resistance levels of a security (be it stocks or indices) for that expiry. How to do option analysis? Option analysis...
Key Takeaways The moving average convergence divergence (MACD) is a popular momentum indicator that is used in technical analysis. The MACD is calculated by comparing exponential moving averages in a security's price. The MACD line is charted alongside a nine-day moving average of the MACD line, called the signal line, and a histogram representing the difference...
Moving average convergence/divergence (MACD) is a technical indicator to help investors identify entry points for buying or selling. The MACD line is calculated by subtracting the 26-period exponential moving average (EMA) from the 12-period EMA. The MACD indicator (or oscillator) is a very popular indicator among traders around the world for identifying trends...
It proves useful for assessing the depth and liquidity of specific strikes. It aids traders to find option premium against its corresponding maturity date and strike price. Option chain serves as a warning against breakouts or sharp moves in the index. How It Works: A long straddle options strategy involves simultaneously buying a call option and a put option on...
Option chain data is the complete picture pertaining to option strikes of a particular stock or index in a single frame. In the Option chain frame, the strike price is at the center and all data pertaining to calls and puts on the same strike are presented next to each other. Traders use an options chain to choose the specific option contracts that best align...
Every successful investor has one thing in common, they read as many investment books as they can. Trading in the share market requires a basic knowledge of all the aspects that can influence the prices of shares, and it can be gathered by reading books regularly. Skills #1 and #2 – Research and Analysis. ... Skill #3 – Adapting Your Market Analysis to Changing...
Without appropriate risk management, events like this can lead to: Loss of all your trading capital or more. Losses that are too large given your overall financial position. Having to close positions in your account at the wrong time because you don't have enough liquid funds available to cover margin. Key Takeaways: #Trading can be exciting and even profitable...
#VISHWARAJ *BREAKOUT and retest in VISHWARAJ SUGARS IND LTD. *on weekly time frame *volume is increasing *FIIS has increased their holding by 13% compared to last quarter
#RELIANCE ready for a new high. Currently taking support of Demand Zone. CMP -2744 TARGET - 2970 - 3050 3100 3150 + — — SL 2700
#ASHOKLEY Ready for new High! Logic explained in the chart. CMP 227 Target 1 - 242 Target 2 - 251 Target 3 - 257 Target 4 - 267+
WINTER COLD PICKS #PGIL, READY TO BLAST!! ENTRY 1000 (15min Closing) SL 965 (Hourly Closing) TARGET: 1065 TYPE: " SHORT-TERM " REASON:- #PGIL after a FANTASTIC RALLY is now forming a ROUNDING BOTTOM which is EXTREMELY POSTIVE for stock !! We are expecting a CLASSIC BREAKOUT and a GREAT UPWARD MOMENTUM
#PAVNAIND Timeframe : 1 HR ALL TIME HIGH Pattern: RESISTANCE BREAK OUT Good looking above : 670-675 For the TARGET: 730/ 810/ 900+ $ Support at: 600
#SENSEX Chart analysis for tomorrow Expiry trading session Date: 11 oct 2024 Timeframe : 15 mints chart Good looking above: 81730 Target: 81955/. 82145/ 82315++ SELL below: 81590 For the TARGET: 81370/. 81070/. 80720++
# NIFTY50 Chart analysis for tomorrow trading session Date: 11 oct 2024 Timeframe : 15 mints chart Good looking above : 25040 Target: 25115/. 25235/25355++ SELL below: 24999 For the TARGET: 24920/. 24800/. 24695++