Our Short-Term Cash desk publishes high-conviction swing trade ideas on highly liquid Indian equities, designed for an average holding period of 1 to 4 weeks. Every call is grounded in a multi-factor framework — momentum, volume, sectoral trend, and event positioning — paired with clearly stated entry, target, and stop-loss.
Highlights
1–4 week average holding period
Liquid mid & large cap focus
Defined entry, target, stop-loss
Sector & macro context per call
Best for
Active investors seeking short-cycle returns
Traders who prefer cash settlement over leverage
Clients building disciplined portfolio rotation
What you receive
Daily / event-based research notes
Position sizing guidance
Continuous monitoring & exit alerts
Risk Disclosure
Equity short-term trading carries market risk including potential capital loss. Past performance is not indicative of future results. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Equity · Cash
Cash — Multibagger
Long-horizon conviction calls on emerging leaders, screened on fundamentals & cycle timing.
Our Multibagger desk identifies businesses with structural tailwinds — clean balance sheets, scalable unit economics, and credible management — at attractive cycle entry points. Holding horizons typically span 12–36 months, with quarterly thesis reviews and clear exit triggers.
Highlights
12–36 month research horizon
Quality + value + cycle screening
Quarterly thesis reviews
Clear exit-trigger framework
Best for
Long-term wealth-builders
Investors comfortable with volatility for compounding upside
SIP-style staggered deployment
What you receive
Initial deep-dive research note
Quarterly review updates
Event-driven thesis revisions
Risk Disclosure
Long-term equity investing involves price volatility and capital risk. Returns are not guaranteed. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Derivatives · F&O
Stock Future
Directional F&O research on momentum-leading stocks with calibrated risk-reward.
We track stock futures on the most liquid F&O names in India and publish directional research where technical structure, derivative cues (OI, basis, IV), and fundamental flow agree. Risk-reward is sized for typical 3–10 day positional setups.
Highlights
F&O liquid universe coverage
OI, basis, IV-aware setups
3–10 day positional bias
Strict stop-loss discipline
Best for
F&O-eligible traders
Clients comfortable with leveraged risk
Active position-traders seeking documented setups
What you receive
Pre-market directional view
Entry / target / stop research notes
Rollover & expiry guidance
Risk Disclosure
Futures trading involves substantial leverage and risk of loss exceeding capital deployed. Suitable only for traders who fully understand derivatives. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Derivatives · F&O
Stock Option
Premium-decay aware option research — directional, hedged, and event-driven setups.
Our Stock Options desk frames trades around volatility regime, time decay, and event windows. We deliver both naked directional setups for high-conviction days and defined-risk spreads to optimize capital efficiency.
Highlights
Volatility-regime aware setups
Theta-decay positioning
Event-driven option strategies
Spread structures available
Best for
Experienced option traders
Investors seeking defined-risk strategies
Event-trade specialists
What you receive
Strategy selection guidance
Strike & expiry recommendation
Adjustment & exit framework
Risk Disclosure
Options can expire worthless. Strategy outcomes depend on price, volatility, and time. Not all strategies are suitable for all investors. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Index · Derivatives
Index Future
Nifty, Bank Nifty, Sensex futures — trend-following and breakout research.
Index futures are the cleanest liquidity in Indian markets. We publish positional and intraday-bias research on Nifty 50, Bank Nifty and Sensex futures, anchored to global cues, sectoral breadth, and intermarket signals.
Highlights
Nifty / Bank Nifty / Sensex coverage
Macro & breadth framework
Intraday + positional bias
Breakout and reversal setups
Best for
Index-focused traders
Macro-aware F&O participants
Clients seeking diversified directional exposure
What you receive
Daily levels & bias note
Trade ideas with risk parameters
Expiry-week strategy guidance
Risk Disclosure
Index futures carry full market and leverage risk. Margin obligations may exceed initial deposits. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Index · Derivatives
Index Option
Index option strategies engineered around volatility regimes and macro events.
From weekly expiries to monthly positional plays, our Index Options desk frames trades by volatility regime (low/high), event proximity (RBI, FOMC, Budget), and skew. Spreads, straddles, and directional plays are all in our toolkit.
Highlights
Weekly + monthly expiry coverage
Vol-regime dependent strategy
Event-week dedicated playbook
Skew & IV-rank aware
Best for
Weekly expiry traders
Event-trade specialists
Investors using options for hedging
What you receive
Expiry-window strategy plan
Strike selection & strategy build
Dynamic adjustment notes
Risk Disclosure
Index options trading involves time decay and gap risk; written options can incur losses far exceeding premiums received. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Commodity · MCX
Bullions (MCX)
Gold and Silver positional & intraday research aligned with global macro flows.
Bullion is the truest macro asset on Indian exchanges. Our research integrates DXY, US real yields, central-bank flows, and INR positioning to publish actionable trade ideas on MCX Gold and Silver — both intraday and positional.
Highlights
Gold & Silver MCX coverage
Global macro overlay
Intraday + positional setups
Risk events & inventory cycle aware
Best for
Commodity-focused traders
Macro-aware investors
Diversifiers seeking non-equity exposure
What you receive
Pre-session bullion view
Trade levels & risk parameters
Macro event playbook
Risk Disclosure
Commodity futures are leveraged and volatile. Overnight gaps and global news can cause sudden adverse moves. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Commodity · MCX
Energy (MCX)
Crude Oil and Natural Gas research, calibrated to inventory cycles and risk events.
Crude and Natural Gas are the most volatile MCX contracts. We publish disciplined research framed around weekly inventory data, OPEC posture, geopolitical risk, and seasonal demand — with strict risk parameters appropriate for energy volatility.
Highlights
Crude Oil & Natural Gas coverage
Inventory & OPEC overlay
Geopolitical risk monitoring
Wider stop-loss for high vol
Best for
Experienced commodity traders
High-risk-tolerance F&O participants
Macro-trend specialists
What you receive
Weekly inventory-event note
Trade ideas with risk sizing
Geo-event reaction playbook
Risk Disclosure
Energy commodities are among the most volatile traded contracts. Position sizing discipline is non-negotiable. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Commodity · NCDEX/MCX
Agri
Agri commodity research — seasonality, supply-demand, and policy-driven setups.
Agri commodities reward those who understand seasonality, monsoon, MSP policy, and global trade. We publish trade ideas on liquid agri contracts where structural drivers — not noise — are signaling opportunity.
Highlights
Seasonal cycle awareness
MSP and policy overlay
Monsoon & weather monitoring
Global trade flow tracking
Best for
Niche commodity specialists
Investors seeking diversification
Policy-aware traders
What you receive
Cycle-event research notes
Trade ideas with stop frameworks
Policy impact analysis
Risk Disclosure
Agri commodities can be illiquid and sensitive to weather, policy, and global events. Position carefully. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Commodity · MCX
Base Metal
Copper, Zinc, Aluminium and Lead — research synced to global industrial demand.
Base metals are the heartbeat of global industrial activity. We integrate LME pricing, China demand signals, USD strength, and inventory data to deliver disciplined research on MCX base metal contracts.
Highlights
Copper, Zinc, Aluminium, Lead
LME + China demand overlay
USD & macro positioning
Inventory-data driven
Best for
Commodity diversifiers
Macro & cycle traders
Global-trend followers
What you receive
Macro-overlay trade notes
Risk-defined trade ideas
Cycle and trend updates
Risk Disclosure
Base metals are exposed to global cycle and currency risk. Adverse macro shifts can cause sharp moves. Read all the related documents carefully before subscribing. SEBI registration does not guarantee performance or returns.
Ready when you are
Let your next decision be research-led.
Pick a plan that fits your style — equity, derivatives, or commodity — and start receiving compliance-vetted, analyst-backed research.