| Strategy Type | Volatility Breakout |
| Market Bias | Neutral (Trades Both Directions) |
| Timeframe | 15-minute to 1-hour |
| Holding Period | 2 hours to 2 days |
| Risk Reward Ratio | 1:2 to 1:4 |
| Capital Required | ₹25,000-75,000 depending on contract |
| Best Market Conditions | Low volatility consolidation followed by breakout |
| Key Concept | Bollinger Band width contraction predicts explosive moves |
| SILVER | 30 kg • ₹1 per kg • ₹30 per tick • ₹50,000-80,000 |
| SILVERM | 5 kg • ₹1 per kg • ₹5 per tick • ₹8,000-15,000 |
| SILVERMIC | 1 kg • ₹1 per kg • ₹1 per tick • ₹2,000-4,000 |
| Typical Squeeze Duration | 4-12 hours on 15-min chart |
| Breakout Sessions | Evening 7-10 PM most common (US overlap) |
| False Breakout Risk | Higher during 2-5 PM low liquidity window |
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