Spot Price
—
NIFTY 50
India VIX
—
Target: 15–20
Time
—
Window: 9:25 – 14:55
Total P&L
₹0.00
0 trades today
Real: ₹0.00
|
Open: ₹0.00
Strategy Conditions
Trading Window
—
VIX in Range (0–30)
—
Capital ≤ 40%
—
Connection
—
Gap (<0.5%)
—
Daily SL (₹1500)
—
STRATEGY RULES
| Entry Window | 9:25 AM – 2:55 PM |
| VIX Range | 15 – 20 |
| Gap Filter | < ±0.5% |
| Strike (Delta) | 0.15 – 0.20 |
| Strike Range | OTM within 2% |
| Legs | Sell 1 CE + 1 PE |
| CE Stop-Loss | +30% of entry |
| PE Stop-Loss | +25% of entry |
| Take Profit | −90% of entry |
| Daily Loss Limit | −₹1,500 |
| Re-entry | If VIX+Gap+Cap OK |
| Force Exit | 2:55 PM |
Active Positions
0 legs
| Leg | Symbol | Strike | Entry | LTP | SL | TP | P&L | Progress | Status |
|---|---|---|---|---|---|---|---|---|---|
| No open positions | |||||||||
2FA Code (TOTP)
— — —
Expires in:
—
Payoff Diagram
Intraday P&L
Greeks
CE
PE
Delta
—
—
Gamma
—
—
Theta
—
—
Vega
—
—
IV (CE)
—
IV (PE)
—
Logs