LT
The heavy put option trading in Larsen & Toubro ahead of the February expiry highlights a strategic shift among investors towards risk management and hedging. Despite the stock’s strong technical position and large-cap stature, the options market activity suggests that traders are preparing for possible downside scenarios or increased volatility in the short term. For investors, this mixed signal underscores the importance of monitoring both price action and derivatives market trends to gauge sentiment and adjust portfolios accordingly. While the construction sector continues to offer growth opportunities, prudent risk management remains essential amid evolving market dynamics.
#IndexStrategies#TimeToExit
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