Buy Feb Call of 4800 ( 1 Lot) AND Sell Feb Call of 5000 ( 1 Lot)
Max risk: around 4650
Max Profit: around 5350.
Exit Strategy: Exit both the legs at 5000 or above.
Follow-Up: I may not follow it up.
Buy Feb Call of 4800 ( 1 Lot) AND Sell Feb Call of 5000 ( 1 Lot)
Max risk: around 4650
Max Profit: around 5350.
Exit Strategy: Exit both the legs at 5000 or above.
Follow-Up: I may not follow it up.
Disclaimer: The views expressed herein are to be used with your own discretion and neither analyst nor the publisher will be responsible for the outcome.