- 9 Sections
- 55 Lessons
- 100 Weeks
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- Introduction to Derivatives & F&O Market6
- Futures Trading – Simpler Than You Think7
- 2.1What Is a Futures Contract (With Nifty Example)
- 2.2Buying vs Selling Futures – Directional Bets
- 2.3Margin & Leverage in Futures (Risk & Reward)
- 2.4MTM (Mark-to-Market) Settlement Explained
- 2.5Real-Life Futures Trade Demo (On NSE Data)
- 2.6Pros & Cons of Trading Futures
- 2.7Exercise: Identify bullish & bearish futures setups
- Options Trading Basics7
- 3.1What Is an Option Contract?
- 3.2Call Option vs Put Option – Buyer vs Seller Role
- 3.3Strike Price, Premium, Expiry – What Do They Mean?
- 3.4ITM, ATM, OTM Explained with Real Market Example
- 3.5Payoff Charts: Visualizing Profit & Loss
- 3.6Why Most Option Buyers Lose Money (Truth Bomb)
- 3.7Bonus: SmartSourav Option Payoff Calculator
- Greeks and Pricing Mechanism7
- Options Buying Strategies (Directional)6
- Options Selling & Income Strategies7
- 6.1Why Option Sellers Have the Edge
- 6.2Short Straddle & Strangle (Non-Directional Bets)
- 6.3Iron Condor – The Income Generator
- 6.4Covered Call – Combine Stocks + Options
- 6.5Naked Selling: Why You Must Avoid It
- 6.6Margin, Risk, and Adjustments in Selling Strategies
- 6.7Exercise: Paper trade 1 iron condor on Nifty/BankNifty
- Risk Management, Psychology & Position Sizing6
- Live Market Analysis & Strategy Building7
- 8.1How to Read Option Chain (NSE + TradingView)
- 8.2OI Analysis – Spot Smart Money Flow
- 8.3Building a Simple Weekly Option Strategy
- 8.4Intraday F&O Setup Using Price Action + Volume + OI
- 8.5TradingView Setup for F&O
- 8.6Trading Plan Template – Rules, Capital, Strategy
- 8.7CTA: Build your own trading plan using course worksheet
- Bonus Add-ons2
Live Case Study: BankNifty Expiry Day Strategy
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