⚠Crucial Step 2: You MUST open @khushi_fno_bot and click "Start" BEFORE subscribing, or alerts will fail!
▶ Recent Alerts (0)
No alerts yet this session.
Strategy Configuration
RSI Settings
EMA Settings
Volume Settings
Trend Settings
IV Filter Settings
Gap Continuation Filter
52-Week Momentum Filter
PCR Filter
Active Conditions
Loading...
Scan summary
Yahoo Option Fetch Debug
Status
Symbol
Yahoo Symbol
Expiry Count
Matched Strike
📈 Index Opportunities
Symbol
Signal
Spot Price
Strike
Option
Premium
Lot Size
IV
OI
Opt Volume
Today Open
Yesterday Open
Yesterday Close
52W High
52W Low
% From High
% From Low
Weekly Expiry
Monthly Expiry
Yahoo Fetch Time
Graph
📊 Stock Opportunities
Symbol
Signal
Spot Price
Strike
Option
Premium
Lot Size
IV
OI
Opt Volume
Today Open
Yesterday Open
Yesterday Close
52W High
52W Low
% From High
% From Low
Weekly Expiry
Monthly Expiry
Yahoo Fetch Time
Graph
🏆 Top 10 Opportunities
#
Symbol
Signal
Spot Price
Strike
Option
Premium
Lot Size
IV
OI
Opt Volume
Today Open
Yesterday Open
Yesterday Close
52W High
52W Low
% From High
% From Low
Weekly Expiry
Monthly Expiry
Yahoo Fetch Time
Type
Confidence
Graph
Backtest Configuration
Date Range
Leave blank to use minimum fund requirement from peak utilization.
Symbols (hold Ctrl/Cmd for multiple)
🚪
Entry Conditions
When to open a trade
EMA Crossover Timeframes
🏁
Exit Conditions
When to close a trade
EMA Crossover Exit Timeframe
Exit early when EMA9 and EMA20 spread starts shrinking — locks in profits before reversal.
How exits work: Trades close at Take Profit %, EMA Spread Reduction signal, or mandatory intraday EOD close (3:15–3:29 PM).
🛡️
Stop Loss
Protecting against large losses
SL is set at the open price of the selected previous candle's low.
Exit when option premium drops by this % from entry price.
EMA 20 mode: Exit the trade if the underlying spot price crosses below (CE) or above (PE) the 20-period EMA.
Candle mode: SL is the high/low of the previous N-minute candle, providing a dynamic market-based stop.
🔍
Backtest Result
—
Success Rate
—
Net P&L (₹)
—
Return on Capital
—
Fund Required
—
Trades
—
Performance Summary
₹100 trade charge (buy + sell) deducted per trade. Return on Capital = Net Profit ÷ Fund Required.
Fund Required = peak capital when overlapping positions are open (entry premium × lot size).
Total Trades
-
Win Rate
-
Total Profit (₹)
-
Return on Capital
-
Fund Required (₹)
-
Trade Charges (₹)
-
Net P&L (Points)
-
Max Drawdown
-
Sharpe Ratio
-
Profit Factor
-
Avg Holding
-
Minimum Fund Requirement
Peak simultaneous capital blocked across all trades. Capital from closed trades is immediately reusable.
Non-overlapping trades do not add up — only concurrent open positions count.
Min. Fund Required
-
Peak Timestamp
-
Trades at Peak
-
Largest Single Trade
-
Trades contributing to peak utilization
Trade ID
Option Contract
Entry
Exit
Entry Price
Qty
Trade Value (₹)
Run a backtest to see peak utilization
Fund used & remaining before each trade entry
Total fund pool = minimum fund requirement (₹). Fund used = capital blocked by other open trades immediately before entry.
Fund remaining = pool available to deploy for the new trade.
Trade ID
Symbol
Entry Time
This Trade (₹)
Total Fund Pool (₹)
Fund Used Before (₹)
Fund Remaining Before (₹)
Fund Used After (₹)
Fund Remaining After (₹)
Run a backtest to see pre-entry fund status
Capital utilization timeline
Timestamp
Action
Trade ID
Symbol
Trade Value (₹)
Capital Utilization (₹)
Open Trades
P&L (₹)
No timeline data
Fund event log (when all trades are taken)
Timestamp
Event
Trade ID
Option Contract
Trade Value (₹)
Avail. Before (₹)
Avail. After (₹)
Blocked Before (₹)
Blocked After (₹)
Realized P&L (₹)
Equity (₹)
Status
No fund events
Fund Tracking
Step-by-step cash simulation from your initial capital. Exits release capital + P&L immediately.
Trades are rejected when available funds are insufficient.