Options Trading Strategies

The course covers key elements of Options Trading Strategies.

  • duration 3 hours
  • Language English
  • format Online
duration
3 hours
location
Online
Language
English
Code
FIN-054
price
€ 150 *

Available sessions

To be determined



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Description

Options are powerful tools for both position trading and risk management. However, the effectiveness of these tools relies heavily on choosing the right strategies to align with your investment goals. This course provides a comprehensive exploration of various options trading strategies, from simple single-option trades to complex multi-option positions. Participants will learn how to construct and apply different strategies to meet their specific investment objectives, enhancing their ability to navigate the options market effectively.

 

The course begins with an introduction to simple option strategies, focusing on basic positions such as buying calls and puts. Participants will learn how these simple strategies can be used to speculate on market direction and hedge existing positions. Next, the course delves into vertical spreads, which involve simultaneous buying and selling of options with different strike prices but the same expiration date. Participants will explore both bull and bear spreads, understanding how these strategies can limit risk and provide leverage.

 

The training then covers income strategies, such as covered calls and cash-secured puts, which are designed to generate steady income in various market conditions. Participants will learn how to implement these strategies and manage associated risks. The course also addresses volatility and range-bound strategies, which are particularly useful in uncertain market environments. Strategies like straddles, strangles, and iron condors will be examined in detail, providing participants with tools to profit from volatility and market stagnation.

 

Finally, the course explores synthetic strategies, which involve creating positions that mimic the payoff of other financial instruments. Participants will understand how to use synthetic positions to replicate the benefits of long or short stock positions without actually holding the underlying asset.

 

By the end of this course, participants will be able to:

- Understand the fundamental principles of options trading and the importance of strategy selection.

- Apply simple option strategies to speculate on market direction and hedge positions.

- Construct and manage vertical spreads to limit risk and provide leverage.

- Implement income strategies to generate steady returns in various market conditions.

- Utilize volatility and range-bound strategies to profit from market uncertainty and stability.

- Develop synthetic strategies to replicate the benefits of other financial instruments.

- Align options trading strategies with their specific investment goals to enhance overall trading performance.

 

This training course equips participants with the knowledge and skills needed to effectively utilize options trading strategies, helping them to achieve their investment objectives and manage risk in the options market.

After completing the course, a certificate is issued on the Luxoft Training form

Objectives

To provide the audience with an understanding of the most used option strategies, their construction, payoff profile, and general approach to investor’s strategic goals.   


Target Audience

  • Testers, System and Business Analysts, Architects, Developers, and Project Managers working on derivative projects.

Prerequisites

  • Completed introductory training in financial markets and derivatives or possess equivalent knowledge.

Roadmap

  • Simple Option Strategies (1 hour)
  • Vertical Spreads (0.5 hours)
  • Income Strategies (0.5 hours)
  • Volatility & Rangebound Strategies (0.5 hours)
  • Synthetic Strategies (0.5 hours)

Total: 3 hours



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