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F&O

Futures and options on Indian indices and stocks: greeks, expiry behaviour, spreads and implied volatility.

9 guides

18 Jul 2026 · 7 min read

Nifty versus Bank Nifty: how the two indices actually behave

Composition, volatility, expiry behaviour and what each index demands from a trader's risk model.

16 Jul 2026 · 9 min read

Options for Indian traders: the fundamentals that actually matter

Strikes, premium, expiry, intrinsic and time value — the concepts that determine whether an option position makes sense.

14 Jul 2026 · 8 min read

Option greeks without the maths: what delta, theta and vega do to your P&L

A practical translation of the greeks into rupees, aimed at traders who want to size positions correctly.

12 Jul 2026 · 7 min read

A framework for weekly expiry trading

Expiry sessions concentrate opportunity and ruin in the same hours. A structural approach beats an emotional one.

21 Apr 2026 · 7 min read

Hedging for Indian traders: practical structures, not textbook theory

Protective puts, spreads and index hedges — when a hedge is worth its cost and when it just reduces returns.

19 Apr 2026 · 8 min read

Spreads, straddles and condors: choosing the right options structure

Match the structure to your view on direction, time and volatility instead of copying a strategy name.

17 Apr 2026 · 7 min read

Implied volatility and India VIX: pricing fear correctly

What VIX measures, how IV changes option prices, and how to avoid buying protection at the worst possible moment.

15 Apr 2026 · 7 min read

Open interest analysis: reading positioning without the myths

OI plus price change tells you about participation. What it genuinely indicates and where the folklore begins.

02 Mar 2026 · 7 min read

Prop funding for options sellers: what to check first

Margin treatment, hedging requirements, expiry-day rules and event restrictions matter more than the profit target.

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