Derivatives (F&O) Research Service
Research-driven insights on index and stock derivatives with clear, upfront risk disclosures for this high-risk, leveraged segment.
Who is this service for?
This service is suitable only for experienced traders who understand futures & options, leverage, margin requirements and the possibility of significant losses in a short period of time.
- Active F&O traders in index and stock derivatives
- Clients with high risk tolerance and adequate trading capital
- Traders seeking structured research, not guaranteed profits
What you receive
- ✔ Research-based derivative setups (index & stock futures / options)
- ✔ Suggested entry, stop-loss and target zones as per research framework
- ✔ Volatility, support–resistance and open-interest analysis
- ✔ Risk rating and indicative holding horizon (intraday / positional)
- ✔ Market structure notes around key events and expiries
What we do NOT do
- ✘ No trade execution or access to client trading accounts
- ✘ No guaranteed returns, doubling schemes or lottery-style strategies
- ✘ No advice to trade beyond a client’s defined risk capacity
- ✘ No PMS, AIF or fund management activity under this service
High-risk segment disclosure
Futures and Options (F&O) are leveraged instruments and involve a high level of risk. Losses may exceed the initial capital deployed if risk is not managed properly. This service is not suitable for conservative investors or clients seeking assured or fixed returns.
Important SEBI & Risk Disclosures
Solvitas Analytics is a SEBI-Registered Research Analyst (RA).
Derivatives research is shared only in the form of non-executable
recommendations. We do not guarantee returns, capital protection
or profit levels in any F&O strategy.
Derivative trading is extremely risky and may lead to substantial
losses. Clients must evaluate their suitability, risk appetite
and consult their own financial advisor before acting on any research.
Past performance, if discussed, is not an indicator of future results.