F&O Trading and Strategy Services
At RA CAP, we specialize in Futures & Options (F&O) trading designed to capture opportunities in Index, Equity, and Commodity segments — with a sharp focus on strategy, structure, and risk control.
Index & Equity Derivatives
Our trading framework combines technical and derivative data to design setups that work across Nifty, Bank Nifty, and select stocks.
We use proven strategies like Iron Condors, Spreads, Straddles, and Directional Breakouts to suit varying market conditions.
Each strategy is backed by:
Open Interest and Volatility Analysis
Defined Risk Management (typically 1.5–2% per setup)
Dynamic Adjustments to protect and enhance returns
The goal is consistent, systematic income generation — not speculation. Every trade is planned, executed, and reviewed with discipline.
Commodity Derivatives
We also provide structured strategies in Crude Oil, Gold, Silver, and Natural Gas — both Mega and Mini contracts.
Our approach blends global cues with local market behavior, focusing on:
Volatility-based entries
Seasonal and macro trend analysis
Option writing and spread setups for stable returns
With strong risk-reward control and adaptive trade management, our commodity desk aims to turn volatility into a steady advantage,





