Unlock the full potential of your trading journey by combining all three tiers into our Options Mastery Bundle, designed to give you a complete, professional-grade education at an exceptional value.
Tier 1: Foundations of Options (Beginner)
Goal: Understand the "what" and "why" of options trading.
What is an Option? Understanding the contract (right vs. obligation).
Calls vs. Puts: Defining the basic tools.
Key Terminology: Strike Price, Expiration Date, Premium.
The "Why": Using options for Insurance (Hedging) vs. Speculation.
The Chain: Visualizing the Option Chain and basic liquidity concepts.
Tier 2: Mechanics & Applied Strategy (Intermediate)
Goal: Learn how to execute trades and understand pricing.
Pricing Drivers: Intrinsic vs. Extrinsic Value (Time Decay).
Buying vs. Selling (Writing): Understanding the risk profile of each.
Basic Income Strategies: Covered Calls and Cash-Secured Puts.
Protective Strategies: Protective Puts and basic hedging.
Order Types: How to enter/exit positions effectively in the live market.
Tier 3: Advanced Execution & Risk Management (Advanced)
Goal: Manage complex positions and mitigate risk.
Volatility Trading: Understanding Implied Volatility (IV) and IV Rank.
The Greeks: Delta, Gamma, Theta, Vega, and Rho (managing sensitivity).
Multi-Leg Strategies: Vertical Spreads (Debit/Credit), Calendar Spreads, and Iron Condors.
Advanced Risk Management: Position sizing, managing drawdowns, and "Black Swan" protection.
Psychology of Trading Options: Managing emotional decision-making in volatile markets.
Join our 4-week Advanced Execution course to master complex strategies, sophisticated risk management, and the quantitative analysis needed to manage professional-grade portfolios.
Goal: Manage complex positions and mitigate risk.
Volatility Trading: Understanding Implied Volatility (IV) and IV Rank.
The Greeks: Delta, Gamma, Theta, Vega, and Rho (managing sensitivity).
Multi-Leg Strategies: Vertical Spreads (Debit/Credit), Calendar Spreads, and Iron Condors.
Advanced Risk Management: Position sizing, managing drawdowns, and "Black Swan" protection.
Psychology of Trading Options: Managing emotional decision-making in volatile markets.
Advance your trading skills in this 4-week course by mastering pricing mechanics, essential income strategies, and the execution tactics needed to trade with precision.
Goal: Learn how to execute trades and understand pricing.
Pricing Drivers: Intrinsic vs. Extrinsic Value (Time Decay).
Buying vs. Selling (Writing): Understanding the risk profile of each.
Basic Income Strategies: Covered Calls and Cash-Secured Puts.
Protective Strategies: Protective Puts and basic hedging.
Order Types: How to enter/exit positions effectively in the live market.
Join our 4-week Foundations of Options course to master the essential mechanics, terminology, and strategies needed to navigate the markets with confidence.
Goal: Understand the "what" and "why" of options trading.
What is an Option? Understanding the contract (right vs. obligation).
Calls vs. Puts: Defining the basic tools.
Key Terminology: Strike Price, Expiration Date, Premium.
The "Why": Using options for Insurance (Hedging) vs. Speculation.
The Chain: Visualizing the Option Chain and basic liquidity concepts.
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