Options Strategies Program
Master Options Trading, Volatility & Risk Management
The Options Strategies Program is an 8-week intensive training program designed for students and active traders who want to develop a deep, professional-level understanding of options trading.
This course goes beyond basic definitions. Participants learn how professional traders use options to:
- Trade volatility
- Hedge portfolios
- Optimize returns
- Manage risk dynamically
By the end of the program, participants will be confident in designing, executing, adjusting, and managing single-leg and multi-leg options strategies across varying market conditions.
Program Structure
- Duration: 8 Weeks
- Schedule: Saturdays
- Session Length: 3 Hours
- Total Learning Time: 24 Hours
Course Objective
The objective of this program is to equip participants with:
- A strong conceptual foundation in options and option pricing
- Practical mastery of option greeks and volatility
- Hands-on understanding of multi-leg strategies and adjustments
- The ability to manage trades like a professional, not just place them
This program is ideal for those who want to treat options trading as a structured skill, not speculation.
Who Should Attend
✔ Students interested in derivatives and professional trading
✔ Active traders looking to level up from directional trading
✔ Equity traders who want to add options for hedging and income
✔ Traders interested in volatility-based strategies
✔ Anyone seeking systematic, risk-defined trading approaches
⚠️ Basic understanding of financial markets is recommended.
What You Will Learn
- Options Fundamentals & Advanced Concepts
- How options work in real markets
- Option contracts, expiry cycles, strike selection
- Intrinsic value, time value, and volatility
- Option Greeks & Risk Control
- Delta, Gamma, Theta, Vega, Rho
- How greeks change with price and time
- Using greeks to control risk and exposure
- Single-Leg & Covered Strategies
- Long calls & puts
- Short calls & puts
- Covered calls for income generation
- Protective puts for downside protection
- Volatility-Based Strategies
- Straddles & strangles
- When to trade high vs low volatility
- Event-based trading (results, news, breakouts)
- Spread & Multi-Leg Strategies
- Vertical spreads (bull & bear spreads)
- Calendar (horizontal) spreads
- Butterfly spreads
- Condors & iron condors
- Ladder strategies
- Ratio spreads
- Trade Adjustments & Management
- Entry planning & position sizing
- Adjusting losing trades
- Rolling strategies
- Hedging delta & volatility exposure
Each session includes:
- Concept explanation
- Strategy breakdown
- Payoff analysis
- Real-market examples
- Risk and adjustment discussions
Key Takeaways
By the end of the program, participants will have:
✔ Clear understanding of options pricing and greeks
✔ Ability to select strategies based on market conditions
✔ Mastery of multi-leg options structures
✔ Advanced knowledge of volatility behaviour
✔ Skills to hedge portfolios effectively
✔ Confidence to manage and adjust trades dynamically
Disclaimer: This course is educational in nature and does not provide investment advice. All strategies are taught for learning and understanding market mechanics.
Register for the Program
Fill in the form below to register for the Options Strategies Program.

