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Weekly Indian Stock Market Review

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Manage episode 322004056 series 2907919
内容由Pushkar Anand提供。所有播客内容(包括剧集、图形和播客描述)均由 Pushkar Anand 或其播客平台合作伙伴直接上传和提供。如果您认为有人在未经您许可的情况下使用您的受版权保护的作品,您可以按照此处概述的流程进行操作https://zh.player.fm/legal

Stock options: Preferred instrument to trade in high volatility

Commentary

As volatility across the globe rose significantly due to geopolitical uncertainty, sharp moves were there in stocks on both sides due to which playing a directional move is getting difficult. The dollar index moved above 97 levels whereas Brent crude moved to seven-year high levels due to fresh sanctions being imposed on Russia. Despite some negatives, FIIs has turned positive in the stock futures segment indicating they utilised the current fall to accumulate.

Outlook:

Due to higher volatility, focus has once again shifted to the stock option segment, which is relatively safe if we are on the buying side of the option. For instance, due to higher volatility, decline in option premiums are lower. If the stock moves in the same direction, appreciation is higher. Few above stock option has good liquidity and has seen good OI change. Overall long exposure of FIIs in the stock future segment rose to two-years high. On a net basis, FIIs are now almost 4 lakh contracts long in this segment. Hence, we feel there would be more stock specific action in the coming days. One can use the stock option segment as a preferred trading instrument till the time IVs are higher. We have already recommended a few stock option trades.

  continue reading

15集单集

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Manage episode 322004056 series 2907919
内容由Pushkar Anand提供。所有播客内容(包括剧集、图形和播客描述)均由 Pushkar Anand 或其播客平台合作伙伴直接上传和提供。如果您认为有人在未经您许可的情况下使用您的受版权保护的作品,您可以按照此处概述的流程进行操作https://zh.player.fm/legal

Stock options: Preferred instrument to trade in high volatility

Commentary

As volatility across the globe rose significantly due to geopolitical uncertainty, sharp moves were there in stocks on both sides due to which playing a directional move is getting difficult. The dollar index moved above 97 levels whereas Brent crude moved to seven-year high levels due to fresh sanctions being imposed on Russia. Despite some negatives, FIIs has turned positive in the stock futures segment indicating they utilised the current fall to accumulate.

Outlook:

Due to higher volatility, focus has once again shifted to the stock option segment, which is relatively safe if we are on the buying side of the option. For instance, due to higher volatility, decline in option premiums are lower. If the stock moves in the same direction, appreciation is higher. Few above stock option has good liquidity and has seen good OI change. Overall long exposure of FIIs in the stock future segment rose to two-years high. On a net basis, FIIs are now almost 4 lakh contracts long in this segment. Hence, we feel there would be more stock specific action in the coming days. One can use the stock option segment as a preferred trading instrument till the time IVs are higher. We have already recommended a few stock option trades.

  continue reading

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