Good open interest added both sides. Especially call OI is very high.
If market comes down I would like to sell 11750, 11700 PE.
If market goes up would like to sell calls 12050 and above.
(1/n)
Just one day Nifty has to do whatever it wants because Thursday we can get leverage and start adjustments.
Margin management is the main game here. Keep money for adjustments.
(2/2)