Description
As a beginner in derivatives world, anyone MUST start by mastering the basic options strategy first, for a directional and non-directional market. These strategies may sound boring, BUT many people don’t know how to use them correctly, what rules to follow, when to trade and how to trade these. Personally, these strategies are still my bread and butter strategies – as they offer higher comfort and peace of mind in options trading.
Many perceive mastering options as probably one of the most difficult asset class & they are not mistaken. The most common and fatal mistake any trader can make, is searching for the perfectly profitable option strategy (which doesn’t exist) !
Infact, any new trader MUST start from the basics, and try to master some of the core and easy option strategies in depth, and trade them for atleast first 6-months to build a strong foundation, before exploring more complicated ones. More complicated a strategy is – More difficult it is to manage.
In this module, we will learn some of the simplest, yet effective options strategies to manage in a bullish, bearish OR sideways market conditions. We will define clear rules, delta/vega rules, strike price selection process and defining clear stoplosses. If that particular trade starts going against us, in such a situation, our only objective must be to minimize our risk(/loss) or even come out of it at a profit, by doing various adjustments to the original trade. We will understand these adjustment techniques via real trade examples too, with more examples added regularly to each section in due course of time (for FREE).
Assuming you have the basics of technical analysis mastered, our focus in this course would be to learn Vertical Spreads, Naked Option Selling/Buying, Ratio Spreads and Straddles as a strategy.





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