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Relative Strength Table

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๐Ÿ“Š RRG Quadrant Scanner - Options Trading Market Direction Tool

A powerful Relative Rotation Graph/Table (RRG) dashboard designed to help OPTIONS TRADERS identify market direction, select optimal strikes, and time entries with precision. Track up to 8 symbols against any benchmark to determine bullish/bearish bias and rotation momentum.

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๐ŸŽฏ WHY OPTIONS TRADERS NEED THIS

Unlike stock traders who can hold losing positions indefinitely, options traders face:
โŒ Time decay (theta)
โŒ Directional risk (delta)
โŒ Volatility changes (vega)
โŒ Limited time to be right

This indicator solves these challenges by showing you:
โœ… Which direction momentum is flowing (calls vs puts)
โœ… Which symbols/sectors have strongest trends (high probability setups)
โœ… When rotation is happening (timing entries/exits)
โœ… Market breadth for directional confirmation

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๐Ÿ”ฅ HOW RRG QUADRANTS GUIDE OPTIONS TRADING

๐ŸŸข LEADING QUADRANT (Top Right) - BULLISH BIAS
What it means:
โ€ข Strong uptrend vs benchmark
โ€ข Accelerating momentum
โ€ข High relative strength

Options Strategies:
โœ… BUY CALLS (ITM/ATM for safer, OTM for aggressive)
โœ… SELL CASH-SECURED PUTS (collect premium on strong stocks)
โœ… BULL CALL SPREADS (defined risk directional plays)
โœ… LONG CALL DIAGONALS (capture continued uptrend)

Direction Signal: STRONG BULLISH
โ€ข Multiple symbols in Leading = broad market strength
โ€ข Index options: favor call side
โ€ข Stock options: bullish strategies on individual leaders

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๐Ÿ”ต IMPROVING QUADRANT (Top Left) - EARLY BULLISH
What it means:
โ€ข Currently underperforming BUT gaining momentum
โ€ข Early reversal signal
โ€ข Rotation from weak to strong

Options Strategies:
โœ… BUY CALLS with longer expiry (give time to develop)
โœ… BULL PUT SPREADS (defined risk as support builds)
โœ… SELL PUTS at support (premium collection on improving stocks)
โœ… CALENDAR SPREADS (benefit from time and momentum shift)

Direction Signal: EMERGING BULLISH
โ€ข Symbols moving Lagging โ†’ Improving = early buy signal
โ€ข Best for patient options traders
โ€ข Use longer DTE (45-60 days) to allow rotation to complete
โ€ข Watch for move into Leading quadrant for confirmation

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๐Ÿ”ด LAGGING QUADRANT (Bottom Left) - BEARISH BIAS
What it means:
โ€ข Weak relative strength
โ€ข Declining momentum
โ€ข Persistent underperformance

Options Strategies:
โœ… BUY PUTS (directional bearish play)
โœ… BEAR CALL SPREADS (defined risk on weakness)
โœ… SELL COVERED CALLS (if stuck in position)
โœ… PUT DEBIT SPREADS (cheaper than naked puts)

Direction Signal: STRONG BEARISH
โ€ข Multiple symbols in Lagging = market weakness
โ€ข Avoid bullish strategies entirely
โ€ข Index options: favor put side
โ€ข Exit existing long calls immediately

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โšซ WEAKENING QUADRANT (Bottom Right) - EARLY BEARISH
What it means:
โ€ข Currently strong BUT losing momentum
โ€ข Topping signal
โ€ข Rotation from strong to weak

Options Strategies:
โœ… SELL CALLS (initiate bearish bias)
โœ… BEAR PUT SPREADS (cheaper than naked puts)
โœ… CLOSE LONG CALLS (take profits before decay accelerates)
โœ… PROTECTIVE PUTS (if holding stock positions)
โœ… SHORT STRADDLES/STRANGLES (if expecting range-bound)

Direction Signal: EMERGING BEARISH
โ€ข Symbols moving Leading โ†’ Weakening = profit-taking signal
โ€ข Close bullish positions EARLY
โ€ข Initiate bearish strategies
โ€ข Watch for move into Lagging for confirmation of downtrend

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๐ŸŽฏ MARKET DIRECTION CONFIRMATION FOR INDEX OPTIONS

Trading NIFTY/BANKNIFTY/SPX Options? Use this way:

๐Ÿ“Š Track These Symbols Against Benchmark:
โ€ข Major sectors: Finance, IT, Energy, Auto, Pharma
โ€ข Top stocks: RELIANCE, HDFCBANK, INFY, TCS, etc.
โ€ข Benchmark: NIFTY or BANKNIFTY

๐ŸŸข BULLISH INDEX BIAS (Buy Calls/Sell Puts)
When you see:
โ€ข 60%+ symbols in Leading + Improving quadrants
โ€ข Financial sector in Leading (indicates BANKNIFTY strength)
โ€ข IT sector in Leading (indicates NIFTY strength)
โ€ข Few symbols in Lagging

Strategy: Aggressive call buying, put selling, bull spreads

๐Ÿ”ด BEARISH INDEX BIAS (Buy Puts/Sell Calls)
When you see:
โ€ข 60%+ symbols in Lagging + Weakening quadrants
โ€ข Key sectors rotating to Weakening
โ€ข Broad-based weakness across watchlist

Strategy: Put buying, bear spreads, avoiding new longs

โš–๏ธ NEUTRAL/ROTATION PHASE (Iron Condors/Strangles)
When you see:
โ€ข Symbols evenly distributed across quadrants
โ€ข No clear cluster in any one quadrant
โ€ข Conflicting signals between sectors

Strategy: Range-bound strategies, avoid directional bets, reduce position size

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๐Ÿ’ก OPTIONS TRADING USE CASES

๐ŸŽฏ Case 1: Earnings Play Setup
Before earnings, check if stock is in:
โ€ข Leading = bullish bias, buy calls
โ€ข Improving = emerging strength, cautious calls
โ€ข Weakening = avoid or buy puts
โ€ข Lagging = strong puts

๐ŸŽฏ Case 2: Weekly Options Direction
Monday morning setup:
โ€ข Check sector quadrants vs benchmark
โ€ข Leading sectors = focus call trades there
โ€ข Weakening sectors = focus put trades
โ€ข Adjust delta exposure based on quadrant distribution

๐ŸŽฏ Case 3: Spread Selection
For credit spreads:
โ€ข Sell puts on Leading/Improving symbols (bullish)
โ€ข Sell calls on Weakening/Lagging symbols (bearish)
โ€ข Iron condors when symbols are scattered (no clear direction)

๐ŸŽฏ Case 4: Portfolio Hedging
If holding calls:
โ€ข Watch symbols move Leading โ†’ Weakening = add protective puts
โ€ข If 50%+ watchlist enters Weakening = hedge entire portfolio

If holding puts:
โ€ข Watch symbols move Lagging โ†’ Improving = close puts early
โ€ข If broad rotation to Improving = exit bearish positions

๐ŸŽฏ Case 5: Theta Decay Management
Leading quadrant = hold calls longer (trend supports you)
Weakening quadrant = close calls early (decay + downside risk)
Improving quadrant = be patient with calls (need time to develop)
Lagging quadrant = hold puts or exit quickly if rotation starts

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๐Ÿ“ˆ SECTOR ROTATION FOR OPTIONS STOCK SELECTION

Instead of trading index options, use quadrants to pick individual stocks:

Setup Example - NSE Options:
Symbols: RELIANCE, HDFCBANK, INFY, TCS, SBIN, ICICIBANK, TATAMOTORS, BAJFINANCE
Benchmark: NIFTY

Monday Strategy Session:
1. Check which stocks are in Leading quadrant
2. Focus call trades ONLY on Leading stocks
3. Check which stocks are in Weakening/Lagging
4. Focus put trades on those
5. Ignore stocks in unclear quadrants (save capital)

This approach:
โœ… Increases win rate (trading with momentum)
โœ… Reduces losses (avoiding weak stocks)
โœ… Improves timing (catch early rotations)

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๐Ÿ”ฅ REAL TRADING SCENARIOS FOR OPTIONS

๐Ÿ“Š Scenario 1: Strong Bullish Market
Quadrant Status:
โ€ข Leading: 5 symbols
โ€ข Improving: 2 symbols
โ€ข Weakening: 1 symbol
โ€ข Lagging: 0 symbols

Options Action:
โœ… Aggressive call buying on index
โœ… Bull call spreads on leading stocks
โœ… Sell puts on improving stocks
โœ… Avoid bearish strategies
โœ… Larger position sizes (conviction high)

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๐Ÿ“Š Scenario 2: Rotation/Choppy Market
Quadrant Status:
โ€ข Leading: 2 symbols
โ€ข Improving: 2 symbols
โ€ข Weakening: 2 symbols
โ€ข Lagging: 2 symbols

Options Action:
โš ๏ธ AVOID directional bets
โœ… Iron condors/strangles (profit from range)
โœ… Calendar spreads (volatility plays)
โœ… Smaller position sizes
โœ… Wait for clearer rotation signal

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๐Ÿ“Š Scenario 3: Bearish Reversal
Quadrant Status:
โ€ข Leading: 1 symbol
โ€ข Improving: 0 symbols
โ€ข Weakening: 3 symbols
โ€ข Lagging: 4 symbols

Options Action:
โœ… Buy puts on index
โœ… Bear call spreads on weakening stocks
โœ… CLOSE all long calls immediately
โœ… Sell covered calls if stuck in stocks
โœ… Increase hedge positions

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๐Ÿ“Š Scenario 4: Early Recovery
Quadrant Status:
โ€ข Leading: 1 symbol
โ€ข Improving: 4 symbols (moving from Lagging)
โ€ข Weakening: 1 symbol
โ€ข Lagging: 2 symbols

Options Action:
โœ… Buy calls with 45-60 DTE (give time to develop)
โœ… Bull put spreads on improving stocks
โœ… Small position sizes initially
โœ… Scale in as symbols move to Leading
โœ… Close remaining bearish positions

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๐ŸŽฏ TIMING ENTRY/EXIT WITH QUADRANTS

๐Ÿ“ BEST CALL ENTRIES:
1. Symbol moves Improving โ†’ Leading (momentum confirmed)
2. 70%+ watchlist in Leading/Improving (broad strength)
3. Key sector enters Leading (focused strength)

๐Ÿ“ BEST PUT ENTRIES:
1. Symbol moves Weakening โ†’ Lagging (downtrend confirmed)
2. 70%+ watchlist in Weakening/Lagging (broad weakness)
3. Leading symbols suddenly drop to Weakening (reversal)

๐Ÿ“ EXIT SIGNALS:
Calls: Close when symbol enters Weakening
Puts: Close when symbol enters Improving
Both: Take profits at 50-70% max gain if rotation unclear

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โš™๏ธ SETUP FOR OPTIONS TRADERS

For NIFTY Options Traders:
โ€ข Symbols: Top 8 NIFTY stocks (RELIANCE, HDFCBANK, INFY, etc.)
โ€ข Benchmark: NIFTY
โ€ข Window: 20 periods
โ€ข Timeframe: Daily chart
โ€ข Use: Gauge NIFTY direction

For BANKNIFTY Options Traders:
โ€ข Symbols: Banking stocks (HDFCBANK, ICICIBANK, SBIN, KOTAKBANK, AXISBANK)
โ€ข Benchmark: BANKNIFTY
โ€ข Window: 20 periods
โ€ข Use: Gauge BANKNIFTY direction

For Stock Options Traders:
โ€ข Symbols: Your watchlist of optionable stocks
โ€ข Benchmark: Relevant sector index
โ€ข Window: 10-20 periods
โ€ข Use: Pick strongest/weakest for directional trades

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๐ŸŽ“ OPTIONS TRADING RULES USING QUADRANTS

โœ… Rule 1: Only buy calls on Leading/Improving stocks
โœ… Rule 2: Only buy puts on Weakening/Lagging stocks
โœ… Rule 3: Exit calls when stock enters Weakening
โœ… Rule 4: Exit puts when stock enters Improving
โœ… Rule 5: Use longer DTE when trading Improving/Weakening (rotation takes time)
โœ… Rule 6: Use shorter DTE when trading Leading/Lagging (established trends)
โœ… Rule 7: If 70%+ watchlist in one side = strong directional bias
โœ… Rule 8: If symbols scattered = reduce position sizes, play neutral

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๐Ÿ† ADVANTAGES FOR OPTIONS TRADERS

โœ… HIGHER WIN RATE
Trade only symbols with clear momentum direction

โœ… BETTER TIMING
Catch rotations early = maximize profit potential

โœ… REDUCED THETA DECAY LOSSES
Don't hold calls on weakening stocks (double loss)

โœ… CLEARER MARKET BIAS
Know if market is bullish/bearish/neutral

โœ… PORTFOLIO ALIGNMENT
Match your delta exposure to market direction

โœ… EARLY WARNING SYSTEM
Spot rotations before price breaks down/up

โœ… RISK MANAGEMENT
Exit positions before momentum shifts against you

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๐Ÿ“š COMBINING WITH OTHER ANALYSIS

This indicator works best when combined with:

๐Ÿ“Š Technical Analysis
โ€ข Support/Resistance for strike selection
โ€ข Chart patterns for entry timing
โ€ข Volume for confirmation

๐Ÿ“ˆ Volatility Analysis
โ€ข IV Rank for premium selling decisions
โ€ข VIX/India VIX for overall market risk

โฐ Time Analysis
โ€ข Check quadrants before weekly expiry
โ€ข Align DTE with expected rotation speed

๐Ÿ’ฐ Greeks Management
โ€ข High delta on Leading symbols (directional confidence)
โ€ข Low delta on Improving symbols (early, needs time)
โ€ข Negative delta on Weakening/Lagging (bearish bias)

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โš ๏ธ WHAT THIS INDICATOR DOESN'T DO

โŒ Doesn't predict exact option prices
โŒ Doesn't tell you which strike to buy
โŒ Doesn't replace risk management
โŒ Doesn't account for news/events
โŒ Doesn't consider implied volatility
โŒ Doesn't guarantee winning trades

It DOES give you:
โœ… Market direction bias
โœ… Symbol selection edge
โœ… Rotation timing awareness
โœ… Risk/reward framework

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๐ŸŽฏ BOTTOM LINE FOR OPTIONS TRADERS

Stop fighting momentum. Stop buying calls on weakening stocks. Stop holding positions through rotations.

Instead:
โ€ข Check quadrants BEFORE entering trades
โ€ข Buy calls only on Leading/Improving
โ€ข Buy puts only on Weakening/Lagging
โ€ข Exit when rotation signals change
โ€ข Adjust position size based on breadth

This simple framework can dramatically improve your options trading win rate and reduce catastrophic losses from holding through momentum reversals.

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โญ START TRADING WITH THE TREND

Add this RRG Quadrant Scanner and align your options trades with market rotation - not against it!
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Feature Update
### **1. Index Weightage System** โš–๏ธ

**What it does:**
This feature assigns each stock its real weightage percentage in the index (NIFTY50 or BANKNIFTY). For example, RELIANCE has 10.15% weight in NIFTY50, while HDFCBANK has 28.35% in BANKNIFTY.

**Why it matters:**
Not all stocks impact the index equally. A 5% move in RELIANCE (10% weight) has 10x more impact on NIFTY than a 5% move in a 1% weighted stock. This feature calculates Relative Strength using weighted benchmark instead of equal-weight, giving you accurate index movement predictions.

**Key Benefits:**
- โœ… Accurate index direction forecast
- โœ… Identifies which stocks are actually moving the index
- โœ… Better options entry/exit timing
- โœ… Shows each stock's impact percentage (Wt% column)

**Toggle ON/OFF:** Use "Use Weighted RS" setting

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### **2. BREADTH RATIO** ๐Ÿ“Š

**What it does:**
Measures the ratio of bullish stocks (Leading + Improving) to bearish stocks (Lagging + Weakening). Formula: `(Leading + Improving) / (Lagging + Weakening)`

**Why it matters:**
Professional traders use breadth ratio to determine overall market health and select appropriate options strategies. It's a leading indicator that often predicts index reversals before they happen.

**Trading Signals:**
- **> 1.5** โ†’ Strong Bullish โ†’ Buy Calls, Bull Call Spreads, Long Straddles
- **0.67 - 1.5** โ†’ Neutral/Rangebound โ†’ Iron Condors, Short Strangles, Ratio Spreads
- **< 0.67** โ†’ Strong Bearish โ†’ Buy Puts, Bear Put Spreads, Protective Puts

**Real Example:**
If Breadth = 2.0, it means there are 2x more bullish stocks than bearish โ†’ Strong bullish market โ†’ Ideal for directional call buying

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### **3. INDEX BIAS** ๐ŸŽฏ

**What it does:**
Calculates the **weighted impact** of bullish vs bearish stocks on the index. Unlike simple counting, this considers each stock's actual weightage. Shows as percentage (0-100%).

**Why it matters:**
Even if 60% of stocks are bullish, if heavyweight stocks (RELIANCE, HDFCBANK, ICICIBANK) are bearish, the index will fall. INDEX BIAS shows the **real direction** based on what matters most.

**Trading Signals:**
- **> 60%** โ†’ Strong bullish weighted impact โ†’ **Aggressive long strategies, OTM calls**
- **40-60%** โ†’ Neutral โ†’ **Premium selling, volatility arbitrage**
- **< 40%** โ†’ Strong bearish weighted impact โ†’ **Aggressive short strategies, OTM puts**

**Real Example:**
- Scenario A: 10 stocks bullish (1% weight each) + 5 stocks bearish (10% weight each) โ†’ Index BIAS = 17% โ†’ **BEARISH BIAS** โ†’ Trade bearish despite 66% breadth!
- Scenario B: RELIANCE (10%) + HDFCBANK (9.3%) + ICICIBANK (7.8%) all bullish โ†’ Index BIAS > 60% even if other stocks weak โ†’ **BULLISH BIAS**

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### **Combined Strategy Matrix** ๐ŸŽฏ

| Breadth Ratio | Index Bias | Market Condition | Options Strategy |
|--------------|------------|------------------|------------------|
| > 1.5 | > 60% | **Strong Bull** | Long Calls, Bull Call Spread |
| > 1.5 | 40-60% | **Weak Bull** | Call Ratio Spread, Call Calendar |
| 0.67-1.5 | 40-60% | **Neutral/Choppy** | Iron Condor, Short Strangle |
| < 0.67 | < 40% | **Strong Bear** | Long Puts, Bear Put Spread |
| < 0.67 | 40-60% | **Weak Bear** | Put Ratio Spread, Put Calendar |

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### **Why These 3 Features Make This Indicator Professional-Grade:**

1. **Weightage System** โ†’ Shows WHO is moving the market
2. **Breadth Ratio** โ†’ Shows HOW MANY are participating
3. **Index Bias** โ†’ Shows WHERE the index is actually heading

**Together, they answer the three critical questions every options trader needs:**
- โœ… Which stocks matter most? (Weightage)
- โœ… Is the market healthy? (Breadth)
- โœ… What's the real direction? (Index Bias)
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