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In-depth, research-led articles on equity, futures, options, and index trading — written for Indian traders and investors.

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Positional Trading

Exit Strategies for Positional Trades: Targets, Trails, and Time Stops

Deciding when to exit is often harder than deciding when to enter — a structured comparison of fixed targets, trailing stops, and…

July 18, 2026Read Article →
Positional Trading

Pyramiding: Adding to a Position That Is Already Working

Adding to a position that has already moved favourably, rather than only to losing ones, is a disciplined way to increase size…

July 18, 2026Read Article →
Positional Trading

Scaling Into Positions: Building Size Without Betting It All

Rather than committing full position size in a single transaction, scaling in builds exposure gradually as a thesis confirms — a practical…

July 18, 2026Read Article →
Positional Trading

Holding Through Earnings: A Positional Trader’s Decision Framework

Quarterly results introduce a specific, known risk event into a positional trade — a structured framework for deciding whether to hold through…

July 18, 2026Read Article →
Positional Trading

Swing Trading Chart Patterns: Flags, Pennants, and Cup-and-Handle

Three of the most reliable continuation patterns swing traders watch for — how flags, pennants, and cup-and-handle formations develop, and the rules…

July 18, 2026Read Article →
Risk Management

Margin Calls Explained: How They Happen and How to Avoid Them

A margin call can force the sale of positions at exactly the worst possible moment — understanding exactly how and why they…

July 18, 2026Read Article →
Risk Management

Trading Around Major Events: A Risk-First Framework

Budget days, RBI policy announcements, election results, and major corporate earnings all carry a distinct, heightened risk profile — a structured framework…

July 18, 2026Read Article →
Risk Management

Weekend Risk and Gap Risk: Managing Overnight Exposure

Positions held overnight or through a weekend are exposed to news and global developments that occur while the domestic market is closed…

July 18, 2026Read Article →
Risk Management

Position Sizing in Volatile Markets: Adjusting to Conditions

A fixed position size that works well during calm markets can carry dramatically more risk during volatile periods — how to adjust…

July 18, 2026Read Article →
Risk Management

When Not to Trade: Recognising Low-Edge Market Conditions

Knowing when to stay out of the market is as valuable a skill as knowing when to enter — a practical framework…

July 18, 2026Read Article →