
Are you ready to transform your Trading Career? The key to unlocking your potential as a successful trader is just three days away. With our exclusive 3-Day Options Trading Masterclass, you’ll learn the exact strategies used by Himanshu Miglani to maximise returns and minimise risk. This isn’t just a course; it’s a fast-track pass to achieving success in the options market.
You’ve seen the success stories. Now, it’s your turn to create your own. But here’s the catch: this opportunity won’t last forever. Seats are extremely limited, and only the most determined individuals will secure their spot. If you’re serious about changing your financial future, you need to act now. Register today and set your path to success in motion!
Himanshu Miglani (NISM Certified Research Analyst)
What You Will Learn:
 Introduction to Futures & Options
🎯 Objective: Understand the basics of options trading and how derivatives work.
– What are futures and options?
– Difference between spot trading & derivatives trading
– Key terms: Strike price, expiration, premium
 Call & Put Options – Theory & Application
🎯 Objective: Learn how call and put options work and when to use them.
– Intrinsic vs. time value of an option
– Real-world examples using Nifty options
– How buyers and sellers make money in options
 Money Management (Risk-Reward Calculation)
🎯 Objective: Understand how option moneyness impacts risk and reward.
– ATM, ITM, OTM explained in detail
– How to calculate break-even points
– Profit/Loss calculation for different strike prices
 Option Chain, Open Interest & Volume Analysis
🎯 Objective: Learn how to analyze option chains and predict market sentiment.
– Reading and interpreting an option chain
– How open interest and volume influence price movement
– Case study: Nifty/Bank Nifty options
 Options Buying vs. Selling & Hedging with Options
🎯 Objective: Understand the risks and rewards of buying vs. selling options.
– Why option buyers lose more often than sellers
– When to use covered calls & protective puts
– Hedging strategies for capital protection
Volatility in Options Trading (IV vs. VIX)
🎯 Objective: Master the role of volatility in options pricing, as Volatility is the most Important Parameter for Market Understanding.
– Implied Volatility (IV) and its impact on premiums
– Using India VIX to predict market movement
– Understanding volatility skew & IV crush
 Options Greeks – Delta & Gamma
🎯 Objective: Learn how Delta & Gamma impact option pricing, Important for Jackpot Days where Low Premiums Shoots up Very Big.
– Delta: How price changes affect premiums
– Gamma: How option price movement accelerates
– How to use Delta & Gamma for directional trades
 Options Greeks – Theta & Vega
🎯 Objective: Understand the impact of time and volatility on options.
– Theta: Time decay and its effect on options
– Vega: How volatility changes affect pricing
– Strategies to trade high and low volatility markets
 Directional Strategies – Bullish & Bearish
🎯 Objective: Learn to Identify the Trend and Applying profitable strategies for trending markets.
– Bull Call Spread & Bull Put Spread – For bullish markets
– Bear Call Spread & Bear Put Spread – For bearish markets
– How to pick the right strategy based on market movement
 Non-Directional & Volatility Strategies
🎯 Objective: Master strategies for sideways and volatile markets.
– Long Straddle & Short Straddle – Betting on volatility
– Long Strangle & Short Strangle – Managing risk and reward
– Iron Condor Strategy – A low-risk, high-probability setup
 Risk Management & Trading Psychology
🎯 Objective: Learn how to manage risks and develop a winning mindset.
– Importance of stop-loss & position sizing
– Common psychological mistakes traders make
– How to maintain a trading journal for consistent performance