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Options & Derivatives
6 courses
Advanced Options Strategies for Portfolio Protection
A defined-risk framework for protecting an existing portfolio with options, built for experienced retail investors, active traders, and HNIs who already know how calls and puts work. Moves past speculation into protective puts, collars, spreads, index-level and tail-risk hedging, and the real cost, margin, and tax mechanics of running a hedge in the Indian market. Uses real Indian drawdowns, including the March 2020 crash and the 2022 correction, alongside Nifty, Bank Nifty, and India VIX data, SPAN margin mechanics, and ITR treatment of options P&L throughout.
- Hedge a portfolio using protective puts, collars and covered calls
- Apply spreads and index-level hedges across diversified portfolios
- Build a systematic framework covering costs, taxes and margin
Practice Drills: Using Options for Basic Portfolio Hedging
A practice-first companion to Understanding Options as a Hedging Tool for Investors. You already know what a protective put, a collar, and portfolio beta are; this course makes you work them with real numbers. Starting from a live NSE option chain, you will drill the floor and cost of a protective put, compare strikes and expiries, estimate your portfolio's beta from mutual fund factsheets, size a Nifty hedge in lots, build a zero-cost collar, add up the true all-in cost of protection, and decide when to roll, hold, or let a hedge expire. Built for experienced retail investors, mutual fund investors, and salaried professionals who want a repeatable, calculator-backed routine for protecting a portfolio around budgets, elections, and results season, without turning into full-time F&O traders.
- Read an NSE option chain the way a hedger does, focusing on premium, liquidity, and implied volatility
- Calculate the floor, breakeven, and cost as a percentage of portfolio for any protective put
- Compare protection across strikes, expiries, and India VIX regimes before you pay for it
Understanding Futures Contracts and Margin Trading
An advanced, mechanics-first course on futures contracts and leveraged trading for experienced retail investors, active traders, and HNIs who already know what a futures contract is. Covers contract specifications, cost of carry and basis, open interest and rollover, the full NSE Clearing margin stack (SPAN, exposure, mark-to-market, peak margin, shortfall penalties), broker square-off rules, Margin Trading Facility (MTF) and pledging, directional and hedging strategies with Nifty and stock futures, calendar spreads, cash-futures arbitrage, physical settlement, MWPL ban periods, and the taxation of F&O income in India. Built around live NSE contract data, SEBI circulars, and Zerodha-style broker mechanics.
- Read any NSE futures contract specification and compute fair value from the cost of carry
- Explain exactly how SPAN, exposure, and peak margins are computed and why margin calls happen
- Use Margin Trading Facility and pledging correctly, and compute the true cost of leverage
Understanding Options as a Hedging Tool for Investors
A concept-first course on options as insurance for people who already own stocks and mutual funds. Built for experienced retail investors, mutual fund investors, and salaried professionals who want to understand when and how to protect a portfolio without turning into F&O traders. Covers the hedger's mindset, protective puts, hedging a mutual fund portfolio with Nifty options, covered calls and collars, the real costs, margins, and taxes of hedging in India, and a clear framework for when hedging is worth it. Uses NSE contracts, India VIX, real Indian market events, Zerodha costs, and SEBI's F&O rules throughout.
- Tell the difference between using options to hedge and using them to speculate, and why the mindset changes every decision
- Treat a put option as an insurance policy, mapping strike, premium, and expiry to deductible, cost, and term
- Hedge a diversified stock or mutual fund portfolio with Nifty options by adjusting for beta and sizing the number of lots
Futures & Derivatives Explained
An introduction to derivatives and futures contracts, covering how futures are priced and the mechanics behind a futures trade. Explores common futures strategies alongside real market rules and famous blowups that show why risk management matters.
- Learn what derivatives are and how futures contracts work
- Understand futures pricing and common trading strategies
- Study market rules and famous blowups to manage risk
Options Trading from Zero
A beginner's guide to options trading, covering what options are, how to read an options chain and the basics of buying your first option. Introduces core options strategies, option pricing, the Greeks, and the trading rules every new options trader needs to know.
- Understand what options are and how they get priced
- Read an options chain and buy your first option
- Learn basic strategies, the Greeks and key trading rules