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Intermediate to Advanced
Option Mastery Program™
A 45-day professional options trading program focused on option chain intelligence, volatility, Greeks, premium behaviour, theta decay, systematic options strategies, hedging, adjustments, and live market execution. Designed for traders who want to develop structured, risk-managed options trading systems through practical market analysis and guided live sessions.
Duration
45 Days
Format
Offline / Online Live
Course Tuition fee
₹25,000
Inclusive of GST. Easy monthly 0% EMIs available.
- Full Curriculum Handoff
- Private Discord Room
- ISO Certified Certificate
SYLLABUS DETAILS
Week-by-Week Curriculum
Evolution of derivative markets, market microstructure, participants behind market movements, institutional order flow dynamics, futures versus options ecosystem, exchange liquidity, time value of money, volatility as an asset class, and the role of derivatives in professional trading.
COMPLETION TARGETS
Key Learning Outcomes
- Understand the professional structure and mechanics of futures and options markets
- Read and interpret option chains using open interest, change in open interest, volume, and PCR
- Analyze option premium behaviour using intrinsic value, extrinsic value, and time decay
- Understand and apply Delta, Gamma, Theta, Vega, and other option Greeks
- Analyze implied volatility and identify volatility expansion and contraction environments
- Build structured option buying strategies for directional and high-volatility market conditions
- Develop systematic option selling strategies designed to capture theta decay
- Construct defined-risk credit spreads and debit spreads
- Build and manage hedged options positions
- Develop Delta-neutral options positions and understand their risk characteristics
- Analyze and adjust straddle and strangle positions based on changing market conditions
- Use option chain data to identify potential breakout, support, resistance, and positioning zones
- Apply professional position sizing and risk-to-reward principles to options trades
- Understand margin requirements and how hedging can affect capital requirements
- Develop systematic entry, exit, stop-loss, and profit-booking rules
- Manage open options positions using Greeks, volatility, price action, and market structure
- Perform real-time market analysis during live trading sessions
- Build option trading spreadsheets, payoff models, and risk calculators
- Develop a structured options trading plan with predefined risk parameters
- Conduct post-trade analysis and maintain a professional trading journal
Punjab's Most Authentic Financial Certificate