BANKNIFTY F&O Advisory Framework
Strategy Overview
High-conviction BankNifty Index options & futures setups with strict stop-loss and quantitative risk parameters.
- High-conviction BankNifty Index options and futures setups designed for active derivatives traders.
- Receive 3 to 5 selective trades per week grounded in quantitative open-interest and technical chart setups.
- Instant alerts dispatched via SMS and WhatsApp desk for immediate market entry.
- Capital guidance: Recommended trading capital of ₹3-4 Lakhs for margin efficiency.
- Dedicated Relationship Manager to ensure timed entries, exits, and continuous risk management.
- Strict focus on disciplined trade execution with 1:2+ risk-to-reward parameters.
* Buy Banknifty 44000 CE above 240 | SL: 190 | Target: 340-380
* Banknifty 44000 CE reached 345. Book partial profit and trail stop-loss to cost.
* Sell Banknifty Future below 43800 | SL: 43920 | Target: 43550
- Always trade on every recommended call to maintain statistical expectancy.
- Never compromise on hard stop-loss orders; manage position size strictly according to risk limits.
- Never average losing derivative positions. Protect capital above all.
- Trading derivatives involves substantial market risk. Trade only with risk capital.
Select Your BANKNIFTY F&O Subscription
- Priority Calls
- Dedicated Manager
- Research Digest
- Position Sizing
- Analyst Access
- Rebalancing
- Multi-Asset Coverage
- Highest Value
- Direct Desk Access