Your trading desk
Strategy monitoring and execution journal
NIFTY 50 —
Your market view starts here
Connect SmartAPI to see today’s NIFTY candles.
No sample prices are shown.
Strategy control
PAPEROpening-range breakout
A completed five-minute close above the opening range signals a call; below it signals a put.
Pausing still monitors open positions for exits. Fills require fresh market depth.
Open position
No open position
Qualifying signals appear here after risk and cash checks pass.
Trade history
0 TRADESA clean starting point
Closed paper trades will appear here, including estimated costs.
| Contract / exit time | Entry → Exit | Net P/L | Exit reason |
|---|
Activity journal
LATESTStrategy rules
Experimental defaults. Edit only while paused with no open position.
Fresh bid/ask depth, full lots only, maximum 2% entry spread, plus 0.1% slippage each way. Estimated costs: ₹20 + 0.15% of premium turnover per side. These are configurable-in-code assumptions, not your actual brokerage charges. ATM contracts need at least two remaining exchange sessions. No option selling.
Quotes are polled about every 10 seconds. Stops and daily loss amounts are triggers, not guarantees. Gaps, outages and polling delays can exceed them. Missing quotes leave positions open and visibly stale; the simulator never invents an exit. The 2026 exchange calendar must be updated before 2027.