I will create a custom options and forex trading strategy


About this gig
Options Strategy | Options Trading | F&O Strategy | Iron Condor | Hedging | Risk Management
Buying options feels like control. Without structure, it is just expensive speculation with a deadline. I am Gitesh Berwal MBA Finance qualified & SEBI Certified Analyst (NISM VIII & XV). I build custom options trading strategies for NSE F&O, Bank Nifty, Nifty 50 and global markets designed around your view, your risk appetite and your capital.
YOU WILL RECEIVE
· Custom options strategy Iron Condor, Straddle, Strangle, Bull/Bear Spread and more
· Entry, exit and adjustment levels clearly defined
· Max profit, max loss and breakeven calculated
· Strike selection, lot size and expiry guidance
· Full risk management framework with execution clarity
THIS IS FOR
· Retail traders wanting structure over guesswork
· HNI investors hedging equity portfolios
· Fund managers building defined-risk F&O positions
Every strategy is built around your market view and risk tolerance not recycled setups, not generic templates.
So, stop trading setups you found online. Get one built specifically for your capital and your conviction.
Get to know Gitesh Berwal
Equity Research Analyst
- FromIndia
- Member sinceNov 2025
- Avg. response time1 hour
- Last delivery1 month
Languages
English, Hindi
My Portfolio
Other Investments Services I Offer
FAQ
Which strategies do you build and what if mine is complex?
I cover the full spectrum — covered calls, cash-secured puts, bull/bear spreads, straddles, strangles, iron condors, iron butterflies, ratio spreads, and calendar spreads. Multi-leg, single-leg, directional or neutral — if it's a listed options strategy, I can build and explain it. For unusually com
Can I get a strategy for this week's Nifty or BankNifty expiry?
Yes Weekly expiry strategies for Nifty and BankNifty are my strongest area. Mention the exact expiry date and your view in the order requirements. For same-week expiry, select the express 24-hour add-on to ensure timely delivery while the trade is still live.
What does the final PDF actually contain?
Depending on your tier — strategy recommendation with rationale, precise strike selection, entry and exit levels, payoff table (max profit / max loss / breakeven), Greeks breakdown (Delta, Theta, Vega), 3-scenario P&L analysis, and IV context.
What if I'm not satisfied with the strategy?
Revisions are included — 1 for Basic, 2 for Standard, 3 for Premium. If the strategy doesn't align with your view or risk appetite as specified, I'll rework it. To avoid misalignment, be as specific as possible in your order requirements — the more context you give, the sharper the output.

