I want to know how the BTST strategy works on the expiry day for which is is set to for current week/month. It is suppose to automatically but next week/months trade since it will be closed next day. But i see its not happening but instead it tried to execute current week/month trade. See the below example my trade is suppose execute at 3.15.
Selected contract RELIANCE25FEB1200PE(Qty: 1000) is illiquid