Moderately bullish (bull put spread) or moderately bearish (bear call spread)
| Strategy Type | Directional / Premium Collection |
| Market Outlook | Moderately bullish (bull put spread) or moderately bearish (bear call spread) |
| Risk Profile | Limited and defined - max loss = spread width minus premium received |
| Reward Profile | Limited to net premium received |
| Time Horizon | 7-45 days depending on structure and outlook |
| Capital Requirement | Moderate (₹15,000 - ₹60,000 margin per lot for NIFTY) |
| Margin Type | Spread margin - significantly reduced vs naked options |
| Best Used When | Expecting underlying to stay above support (puts) or below resistance (calls), elevated IV for rich premiums, want defined risk income generation |
| NIFTY | 25 units per lot |
| BANKNIFTY | 15 units per lot |
| FINNIFTY | 25 units per lot |
| Stock Options | Varies by stock |
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