We provide comprehensive F&O coverage of strategies, analytics and research across equities, Equity Derivatives, Commodity Derivatives and Currency Derivatives
We provide comprehensive F&O coverage of high probabilistic F&Q strategies through our proprietary quantitative F&Q framework to maximize reward-to-risk ratio per trade
We assimilate detailed derivatives analytics such as open interest analysis, PCR, IV, Max pain and other options analytics to derive high probability setups
We provide in-depth sector-wise research, analysis and analytics to help you decode sectoral relative strengths and trade opportunities
We perform top-down Fundamental Analysis sectorally to present you with the state-of-the-art Investment advisory focused on magin, profitability, leverage, liquidity, cash-flow and market data of individual stocks. We run a proprietary scoring model to present the best Long / Short sectoral ideas
We further add a strategic Technical Analysis layer to our setups to advise you appropriate Options strategies based on optimal reward-to-risk and technical setup. We provide you with in-depth sector-wise coverage of superior trend analysis and subsequent advanced options strategies through our proprietary trend algorithms that are used to identify major, intermediate and minor trends in markets
InstitutionsBrokersSub-brokers/franchisesRetail interested in Derivatives strategies
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