Nifty 50 options strategy template
Excel-driven Nifty 50 options strategy. Send trade signals to Tradetron from your own Excel sheet — entries, exits, target and SL orders.
A library of ready-made strategies — equity, options, baskets — free to clone into your own Tradetron account. Each one comes with a video walkthrough (where available). Open it, hit Duplicate, then deploy it live in your own broker account.
Excel-driven Nifty 50 options strategy. Send trade signals to Tradetron from your own Excel sheet — entries, exits, target and SL orders.
Excel-driven Nifty Bank options strategy. Send trade signals to Tradetron from your own Excel sheet — entries, exits, target and SL orders.
Excel-driven index futures strategy. Send trade signals to Tradetron from your own Excel sheet — entries, exits, target and SL orders.
Excel-driven strategy for cash equity stocks listed in the F&O segment. Send trade signals to Tradetron from your own Excel sheet.
Short Straddle with two hedge positions and per-leg stop-losses.
Short Straddle with different stop-losses on each leg.
Template for running a Delta Neutral, Gamma Scalping strategy.
Template for an options calendar spread.
Short Straddle using SLM (Stop Loss Market) orders.
Strangle strategy with strike selection driven by days-to-expiry.
Covered call: long Nifty futures + short call options, entered on EMA + ADX conditions; exits on future/option target.
Nifty Short Straddle: enter ATM short CE & PE at 9:25 a.m., exit on SL or at 3:10 p.m.
Long call at a lower strike + short call at a higher strike. Net debit; profits as the underlying rises.
Short put at a higher strike + long put at a lower strike. Net credit.
Stock shares + put options to simulate a call's payoff — uncapped upside, defined downside.
Long underlying + short call options on the same quantity. Wait for assignment or expiry.
Bullish: sell an OTM put and buy an OTM call on a stock you're already long.
Long underlying + protective long puts + short calls to fund the puts.
Long calls at a higher strike + short calls at a lower strike (same expiry). Max profit = net credit.
Long put + short put at a lower strike (same expiry). Profits on a decline; lower strike offsets cost.
Hedging strategy for a short underlying position: buy calls to cap upside risk.
Short underlying + short put on the same quantity; earns the put premium.
Long call + long put at the same strike & expiry. Profits on a big move in either direction.
Short call + short put at the same strike & expiry. Profits when the underlying stays range-bound.
Long OTM put + long OTM call on the same underlying & expiry — a neutral bet on volatility.
Short OTM call + short OTM put. Unlimited risk on a sharp rise, substantial on a decline.
Buy 1 ITM call, sell 2 ATM calls, buy 1 OTM call — equidistant strikes, same expiry.
Sell a near-term call + buy a longer-dated call at the same strike — capitalizes on time-decay differential.
Long short-term option + short long-term option, same strike & underlying — opposite of a conventional calendar.
Long short-term put + short long-term put, same strike — opposite of a conventional calendar.
"Value When" returns the indicator value at the exact moment a condition fires — e.g. the candle high at the previous crossover.
Template for building a strategy driven by INDIA VIX levels.
Strategy driven by the Supertrend indicator with built-in position sizing.
Strategy using highest highs and lowest lows over a lookback window.
Classic MACD Crossover strategy template.
Renko-chart Supertrend strategy template.
Strategy based on the inside-bar candlestick setup.
Strategy using Fibonacci Pivot Points as support / resistance levels.
Strategy template built around classic Pivot Points.
Intraday mean-reversion using Bollinger Bands. Long when close crosses above lower BB; short when close crosses below upper BB; exit on target, SL or opposite-band cross.
Strategy combining Heiken Ashi candles with an SMA filter.
Range-breakout strategy with quantity sized by stop-loss distance.
Opening Range Breakout with a Repair-Once continuous-condition pattern.
Opening-range strategy: buys on upside break, sells on downside break, exits on SL or target.
Buys every stock in the Bank Nifty index on the 1st trading day of every month.
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Pricing, brokers, strategies — anything.