Dear Ghosh,
Thank you very much for giving us the guidence and immence patience, which you have been rendering to all of us. As mentioned in my earlier post, I'm very new to "options". A
hypothetical query.
Had the level difference of R1~S1 was in the range of 300 to 400, what should have been our strategy? As we are in an uptrend, can one buy 2 CE at S1 blindly before 10:30 AM all day from Monday to Friday, and later hedge the position (if necessary by 12:30/ 3:30),by buying PE at R1 if the trend reverse?
Regards
Reji