FUTURE & OPTION COURSE (F&O):
Those who are interested in full time / part time trading in equity/ commodity market on a serious note, should consider F&O segment as a stepping stone. Most of the total trading volume in the capital market is generated in this segment only. However, risk involvement is high in F&O. So, first of all you need to learn to manage the risk to encash the high potentiality of this market.
Features of F&O Course:
- This F&O course contains 16 classes covering;
- OPTION THEORY – Learning the option theory is the primary need to understand the fair value of option contracts in the light of expiration of contracts, moneyness of options, option risk profile, volatility and other option Greeks etc.
- OPTION STRATEGIES – Conventional options strategies combine multiple buying or selling legs of option contracts with the expectation of making money with predefined risk depending on the condition of the market.
- OPTION STRATEGY ADJUSTMENT – Short term movements in the market are not reliably predictable. So, Adjustment of option strategies are needed to manage risk, alter break-evens, try to stay in the strategy longer without suddenly exiting the strategy taking a full stop-loss
- PRACTICE STRATEGIES ON PAPERS AND APPLICATIONS – Before execution of the strategies in real market it’s a precondition for a trader to practice it for a considerable time to have mastery on the strategies.
Basic need to succeed in F&O trading is consistency, reasonable expectation and continuous development of trading mind.
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