the NIFTY 50 Stock Income Playbook: Cash-Secured Puts Conservative Way

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Bol Indian Futures and Options has become uniquely complex since SEBI mandated physical settlement in 2019. Delivery margins. F&O ban lists. India VIX cycles. FII/DII flows. Lot sizes that change quarterly. And none of it is covered properly in the options books that dominate Amazon - almost all of which are written for US traders working with cash-settled options on a different market entirely.This book is what was missing.Written by an Indian retail trader for Indian retail traders, it builds a complete, conservative, data-driven framework for running Cash-Secured Puts on NIFTY 50 stocks - from stock selection through assignment recovery - with operational rules you can actually follow on a small portfolio.Inside, you'll find:22 chapters covering every stage of the strategy - fundamentals, market reading, indicators, strike selection, expiry choice, position sizing, Greeks management, rolling, assignment, the wheel strategy, taxation, and risk frameworks.4 worked case studies - including the Adani Enterprises Hindenburg drawdown - showing the framework in action under both routine and stressed conditions.Operational checklists for daily pre-market, every trade entry, weekly review, and expiry week - replacing improvisation with discipline.Position-sizing framework for a ¿25 lakh retail portfolio, with sector caps, cash reserves, and per-trade limits.

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Indian Futures and Options has become uniquely complex since SEBI mandated physical settlement in 2019. Delivery margins. F&O ban lists. India VIX cycles. FII/DII flows. Lot sizes that change quarterly. And none of it is covered properly in the options books that dominate Amazon - almost all of which are written for US traders working with cash-settled options on a different market entirely.This book is what was missing.Written by an Indian retail trader for Indian retail traders, it builds a complete, conservative, data-driven framework for running Cash-Secured Puts on NIFTY 50 stocks - from stock selection through assignment recovery - with operational rules you can actually follow on a small portfolio.Inside, you'll find:22 chapters covering every stage of the strategy - fundamentals, market reading, indicators, strike selection, expiry choice, position sizing, Greeks management, rolling, assignment, the wheel strategy, taxation, and risk frameworks.4 worked case studies - including the Adani Enterprises Hindenburg drawdown - showing the framework in action under both routine and stressed conditions.Operational checklists for daily pre-market, every trade entry, weekly review, and expiry week - replacing improvisation with discipline.Position-sizing framework for a ¿25 lakh retail portfolio, with sector caps, cash reserves, and per-trade limits.

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Pagina's: 132, Paperback, Notion Press


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