Nifty has corrected over 1100 points. The 25,000–25,200 zone is a key support I’m tracking.
If a bullish setup develops around this area, I’ll look at put selling, with caution.
⚠️ Budget is near — VIX can be unpredictable.
Higher volatility means better premiums, but without proper risk management, it can hurt capital fast.
➡️ Trade size, hedging, and discipline matter more than chasing premium.