Options Wizard ( Course for Options Buyers + 1 Month’s Mentorship)

๐Ÿ’ก Note:- Basic knowledge of Technicals is needed.

  • Each and every course with me is 1×1 – means I teach 1 student at a time.
  • No crowd. Fully personalized training.
  • Duration will be 3 to 4 weeks to cover all the topics.
  • Timing will be decided upon mutual flexibility.
  • 2 classes per week. But if you are doing job then you can also take your classes ONLY on WEEKENDS.


Introduction to Options Buying

What Does It Mean to Buy Options?

  • Overview of Long Calls and Long Puts
  • Rights vs. Obligations in Option Contracts

Why Buy Options?

  • Leverage with Limited Risk
  • Capitalizing on Volatility and Directional Moves

Basics of Option Premiums

  • Breaking Down Intrinsic Value and Time Value
  • Understanding the Cost of Buying Options


Key Concepts for Options Buyers

Option Chains 101

  • Reading Strike Prices, Expiry Dates, and Premiums
  • Spotting Liquidity: Open Interest and Volume

Implied and Historical Volatility

  • How Volatility Influences Nifty Chart
  • Using the VIX as a Guide for Buying Opportunities

The Greeks Simplified

  • Delta: Measuring Price Sensitivity
  • Theta: Impact of Time Decay on Buyers
  • Vega: Volatilityโ€™s Role in Profits


Strategies for Buying Options

Long Calls

  • How to Profit from Bullish Moves
  • Entry and Exit Points for Maximum Gains

Long Puts

  • Profiting in Bearish Markets
  • Spotting High-Probability Setups for Puts

Event-Based Trades

  • Buying Options Before Earnings or Key News Events
  • Managing Risk Around High-Volatility Events


Timing and Execution for Buyers

When to Buy Options

  • Ideal Market Conditions: Trending or Volatile Markets
  • Avoiding Flat and Low-Volatility Periods

Managing Expiry Dates

  • Short-Dated vs. Long-Dated Options
  • Avoiding Rapid Time Decay


Risk Management for Options Buyers

Position Sizing

  • Calculating Maximum Risk Per Trade
  • Ensuring Proper Use of Capital

Time Decay Awareness

  • How Theta Eats Into Profits and How to Manage It
  • Rolling Options Before Time Value Erodes Completely

Using Stop Loss and Targets

  • Defining Exit Rules Based on Price or Premium Changes


Live Practice and Case Studies

Analyzing Historical Trades

  • Reviewing Successful and Failed Option Buys
  • Lessons from Real-World Scenarios

Live Market Analysis

  • Identifying Potential Long Call or Long Put Setups
  • Using Volatility and Chart Patterns for Entry Points


Building a Trading Plan for Buying Options

  • Aligning Your Strategy with Goals
  • Focusing on Quick Gains vs. Trend Plays
  • Selecting the Right Strike Price and Expiry
  • Tracking and Reviewing Performance
  • Maintaining a Trade Journal for Improvement
  • Learning from Wins and Losses


Course Fee – Rs. 22000/-*

Available Payments Options:

  1. UPI
  2. NET-BANKING
  3. EMI (CREDIT CARD & PAY LATER APPS/SERVICES)
  4. STOCK GIFTING
  5. BARTERING


Book your Slot by clicking the Button Below