Thanks Raunak,
I am trying to undertsnd risk management concept.
I agree with my position(NF short @5445 & 5400CE buy @110) I have risk of max65points. if I am carrying positions till Aug End & if market is above 5335(this is break even).
I know Option is eating my profit. but is there any solution to it?
Pls advice me how should I play in the market with this position.
Or how experience traders like you will trade in this case?
You have indicated in one of the post that you are short in market with adequate protection. If you can share one example of your protection then it will be helpful to understand concept better.
I am trying to undertsnd risk management concept.
I agree with my position(NF short @5445 & 5400CE buy @110) I have risk of max65points. if I am carrying positions till Aug End & if market is above 5335(this is break even).
I know Option is eating my profit. but is there any solution to it?
Pls advice me how should I play in the market with this position.
Or how experience traders like you will trade in this case?
You have indicated in one of the post that you are short in market with adequate protection. If you can share one example of your protection then it will be helpful to understand concept better.
Tc