Course Overview
Build a structured understanding of futures and options, contract mechanics, option Greeks, strategy selection, hedging and strict risk management. The program is built to help learners connect concepts with practical decision-making while maintaining a strong focus on risk awareness and disciplined process.
Key Topics Covered
1. Derivative Foundations
- Futures and options basics
- Contract specs, lots and expiries
- Hedging vs speculation
2. Futures
- Margins, MTM and rollover
- Long and short futures positions
- Index and stock futures
3. Options
- Calls, puts, strike, premium and time value
- Intrinsic value and time decay
- Option payoff behaviour
4. Strategy Structures
- Covered call and protective put
- Straddles, strangles and defined-risk spreads
- Strategy selection by market view
5. Option Greeks
- Delta, Gamma, Theta, Vega and Rho
- Volatility and time-to-expiry impact
- Risk interpretation
6. Risk & Discipline
- Leverage awareness
- Stop-loss and position sizing
- Trading plan and emotional discipline
What You Will Gain
- A structured understanding of the subject instead of fragmented tips.
- Practical frameworks you can apply to charts, research and market observation.
- Greater awareness of risk, decision quality and trading/investing discipline.
- A clear path for continued practice after the course.
Who Should Enroll?
- Active traders
- Investors studying hedging
- Advanced market learners
Course Format
- Mode: Online and offline batches available.
- Learning style: Concept sessions, examples, charts, Q&A and practical market discussion.
- Duration & fees: Confirm the latest batch structure with the academy.
Important: This program is for education and skill development. Market returns are never guaranteed. Derivatives and leveraged products can involve substantial risk.
