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    Hari Swaminathan - Options Basics 3 courses

    Posted By: Rare-1
    Hari Swaminathan - Options Basics 3 courses

    Hari Swaminathan - Options Basics 3 courses [51 Mp4 Video]
    WEPRip | Lang: English | MP4 | 960x720 | AVC, @ 476 Kbps, 30.000 fps | 2.14 GB
    Audio: AAC, 44100 Hz, stereo, 48 Kbps
    Genre: Investing, Trading, Stocks

    The first 3 Options Trading Strategies courses are combined to create this bundle. To master the basics of Options, you really need all three courses. You can get this bundle for 15% discount at $399.Learn Call Options And Put Options.Options Foundation - Time decay, Implied Volatility, Option Greeks, Buying Call Options And Put Options - Live Trades

    WHAT WILL YOU MASTER?

    SECTION I - Call Options

    Most people learning Options for the first time face too much jargon and complex language. This options trading strategies course use real-world examples (buying a house) to explain how a Call Option (Section 1) works in real life. This example should make it absolutely clear what a Call Option is in step-by-step details.

    SECTION II - Put Options.

    The Put Option is the ultimate "protector" of your portfolio, and in this course you can learn how Put Options work. It is the exact opposite of a Call Option. Put Options increase in value when the value of a stock or index drops in price. We define what a Put Option, and just like we did in the Call Option, we consider a real-world example of a Put Option.

    SECTION III - Stock and Options combo strategies

    In this section, three creative strategies are outlined for Stock investors to combine Options into their portfolio strategies.

    · Use Options to buy Stock at prices that are far lower than what the stock is currently trading for

    · Use Options to sell Stock at prices that are far higher than what it is currently trading for

    · Use Options to hedge a Stock position that you already own

    SECTION IV - TIME DECAY

    Time decay is a pivotal component of Options strategies. In fact, time decay alone is responsible for the majority of advanced option strategies. In this part of the options trading strategies course, we are going to study the concept in detail. Options are "wasting" assets, and they lose value every day. The buyer gets hurt from time decay and the seller benefits from it. And time decay becomes more exponential as we approach expiry of an Option. It is also the great equalizer between the profiles of a buyer and seller of Options. Time decay is the great equalizer in the risk / reward profiles of buyers and sellers of Options. Several intermediate and advanced strategies are based on selling premium (option sellers) and these positions make a profit due to time decay in the value of these options over a period of time.

    SECTION V - IMPLIED VOLATILITY

    Implied Volatility is the "wildcard" in Option prices. Ignore it, and you will pay a price. In fact, it's so important we have at least four different varieties - Volatility, Implied Volatility, Historical Volatility, and Future or Expected Volatility. We use the real-world examples to explain the concept of Volatility in simple terms. Then we study how Volatility is quantified in Stocks and Options. And how Volatility finds a back-door to embed itself into Option prices. Implied Volatility considerations are critical when choosing between a buyer and seller profile. We break this complex topic down into simple terms and show you an example of NFLX and CAT options that should make it absolutely clear what this is all about.

    SECTION VI - OPTION GREEKS, DELTA, GAMMA, VEGA, THETA

    If you're the pilot of an aircraft, the Greeks are your instrument panel. If you don't manage your instrument panel properly, well…you get the picture. Understanding the Greeks are absolutely critical to every Option position. We break this course into easy to understand chapters for all the four Greeks - Delta, the king of all Greeks. Gamma - the silent operator. Theta - every Option seller's dream. And Vega - Watch out for this one.. Most beginners to Options tend to ignore the Greeks. Master the Greeks and you'll shave off months of learning curve. Not to mention, you can then fly your aircraft on "auto-pilot" (with help from the Greeks).

    SECTION VII - OPTIONS MARKET STRUCTURE

    The Options market has a number of terms that we need to be aware of. Starting with terminology differences like "Long" and "Short", we look at all the details that go into the Options market. We explain the important processes like Exercise and Assignment, as well as things like Expiry series, Bid-Ask spreads, Brokerage and transaction costs and various other details. What is Open Interest and why is it important, and what is the role of a Market Maker. We study the different Order types and which ones are important for the average investor, and which ones make sense in different situations. We also discuss Regulation T Margin as it applies to Options as well as Portfolio margin.

    SECTION VIII - BUY A CALL OPTION (CHIPOTLE MEXICAN GRILL)

    Buying a Call Option is the most basic of all the Option strategies and is the most efficient strategy to optimize a bullish outlook on a stock. In this options trading strategies course, we take the example of Chipotle Mexican Grill (CMG) and show how the trade played out. We analyze the rationale behind entering the trade, the risk/reward profile, chart analysis and point of entry, choice of expiry and "moneyness" of the Option, time decay considerations, margin requirements, profit expectations, exit criteria, Greek analysis, its Profit and Loss profile and various other considerations. We provide a 360-degree analysis before trade entry. This is a real trade and over 15 days, and we navigate the trade to its exit point.

    SECTION IX - BUYING A PUT OPTION (FXE EURO ETF)

    Buying a Put Option serves two purposes - exploit a bearish move in the stock or be the ultimate protector of your stock. In this part of the course, we take the example of the Euro ETF (FXE) and show how the trade played out in about 25 days time. We analyze the rationale behind entering the trade, the risk/reward profile, chart analysis and point of entry, choice of expiry and "moneyness" of the Option, time decay considerations, margin requirements, profit expectations, exit criteria, Greek analysis, its Profit and Loss profile and various other considerations. We provide a 360-degree analysis before trade entry. We show you how to "let your winners run" in a controlled manner.

    SECTION X - STRATEGY AND OPTIMIZATION

    The Option strategy optimization course brings all the 4 Options strategies together. The 4 strategies are comprised of 2 bullish and 2 bearish strategies, but how and when should we choose a particular strategy over the other. We create a helpful "4 strategies box" to distinguish and connect one strategy to the other. Most importantly, what are all the considerations before we choose a strategy. Our choice of strategy depends not only on what the stock is currently doing, but also on various market externalities as well as a few key Option metrics like Implied Volatility. This course also provides a sneak peek into advanced Option topics like the VIX (Fear index"), trade simulation as well as trade adjustment parameters.

    SECTION XII - SINGLE OPTION ADJUSTMENTS

    This options trading strategies course studies the need for Option adjustments, and why adjustments are as critical to the success of your position as good entry or analysis. We consider all the four basic strategies - the Long Call, Short Call, Long Put, and the Short Put and look at various adjustments to these positions if they get into trouble. Every investor has a "pain point" - this is the point at which they adjust their position. Applying a rigorous approach to this pain point enables investors to control risk while maximizing the opportunity to profit. The course also discusses various details like early adjustments, over-adjusting and adjusting profitable trades as well as the importance of the investor's outlook for the stock when considering adjustments.

    This bundle consists of Courses I through III of a 4-course step-by-step program to achieving Options mastery.

    Course I - Introduction to Options - Learn about Call Options and Put Options is a detailed step-by-step explanation of Options, Call Options and Put Options with theory and practical application with Apple (AAPL) Options

    Course II - Options Foundation - Time Decay, Implied Volatility and Options Greekswill complete your theoretical understanding of Options.

    Course III is Options strategies for Beginners - Buying Call Options and Put Options where we actually put live trades and manage them to their exit points.

    Course IV is on Options Spreads - This is the heart of Options Trading. Once you master Options spreads, you have acquired a skill that can generate consistent monthly income for the rest of your life.

    Please feel free to browse this page for a complete list of Testimonials from our clients, Blog readers and Linkedin group members.

    Take this ultimate Options Trading Strategies course right now and learn options trading.

    Category:
    Business
    Tags:
    calloptions putoptions learntotrade stockmarket stocks stockmarkettradinglessons optionstrading optionstradingstrategies investing investingwithoptions finance financialmarkets business

    WHAT'S IN THE COURSE?

    Over 51 lectures and 10 hours of content!
    Master the basic nuts and bolts of Options trading
    Understand the theory and mathematics behind Options
    What are the factors that affect Options pricing
    How are Options different than Stocks
    How you can use Options even if you invest in Stocks and create superior Combo strategies
    Anyone interested in learning about Options trading
    LIve trades using Thinkorswim platform
    Art of adjusting Single Options strategies

    COURSE REQUIREMENTS:

    Some knowledge and experience with stock markets and trading or investing

    WHO SHOULD ATTEND?

    Anyone interested in learning about Options trading
    A bundle deal that covers all the basics of Options for beginners


    CURRICULUM:

    Section 1 - Introduction to Call Options

    Lecture 1: History of Options and the Mathematics of Options
    14:15
    Lecture 2: Stocks, Options, Definitions of Options and a Call Option
    14:03
    Lecture 3: Understanding Call Options through a Real estate example
    10:59
    Lecture 4: What are In-The-Money (ITM), At-The-Money (ATM) and Out-of-The-Money (OTM) Options
    12:28
    Lecture 5: Buyer and Seller risk profiles, Risk Graphs, Seller advantages
    08:35
    Lecture 6: Option screens, option chains, Expiry series and Call Option layout
    14:40
    Lecture 7: Choice of expiry series and ITM, ATM and OTM Options when looking at AAPL Options
    09:18
    Lecture 8: Call Option performance in real-time and on the day of expiry
    07:38
    Lecture 9: Risk Graphs of ITM, ATM and OTM Options
    12:10
    Lecture 10: Option Sellers risk profile
    09:35

    Section 2 - Introduction to Put Options

    Lecture 11: Put Options Primer
    06:10
    Lecture 12: Definition and Characteristics of Put Options
    09:12
    Lecture 13: A real-world example of Put Options - Buying Insurance
    12:02
    Lecture 14: Risks and Rewards in Put Options
    05:23
    Lecture 15: Put Options quotes and screens on a Trading platform
    08:01
    Lecture 16: Risk Graphs for Put Options buyers
    11:40
    Lecture 17: Risk graphs for Put Option sellers
    06:47
    Lecture 18: Using Put Options spreads to limit risk
    08:44
    Lecture 19: The four strategies BOX - Call and Put Options
    08:10

    Section 3 - Using Stock and Options combo strategies for Stock investors

    Lecture 20: Using Options to buy Stock at much lower prices than what its currently trading for
    10:36
    Lecture 21: Using Options to sell Stock at much higher prices than what its currently trading for
    07:29
    Lecture 22: Using Options to hedge Stock that you already own
    10:51
    Lecture 23: CONCLUSION OF INTRODUCTION TO OPTIONS SECTION
    04:30

    Section 4 - TIME DECAY AND OPTIONS PRICING

    Lecture 24: Explaining Time Decay in real-world examples of Real estate and Insurance
    15:25
    Lecture 25: Time Decay analysis (I) using Apple (AAPL) Options on the Thinkorswim platform
    14:47
    Lecture 26: Time Decay analysis (II) using Apple (AAPL) Options on the Thinkorswim platform
    09:39

    Section 5 - IMPLIED VOLATILITY AND OPTIONS PRICING

    Lecture 27: Explaining Implied Volatility in real-world examples of Real estate
    09:38
    Lecture 28: Implied Volatility computation - How is Implied Volatility reflected in Option Prices
    05:56
    Lecture 29: Implied Volatility in action - CAT and NFLX Options. Buyer / Seller implications
    12:03

    Section 6 - Complete analysis of Option Greeks (Delta, Gamma, Theta and Vega)

    Lecture 30: Option Greeks primer
    15:41
    Lecture 31: Option delta (The king of Greeks)
    20:31
    Lecture 32: Option Gamma
    18:07
    Lecture 33: Option Vega
    12:41
    Lecture 34: Option Theta
    13:46

    Section 7 - Options Market Structure

    Lecture 35: Order types, Transaction costs, market Makers role etc
    13:59
    Lecture 36: Bid-Ask spread, Expiry series, Exercise and assignment, Volume and Open Interest
    15:10
    Lecture 37: CONCLUSION OF OPTIONS FOUNDATION PART OF BUNDLE
    07:08

    Section 8 - Buying Call and Put Options - Options beginner strategies

    Lecture 38: Correct criteria for a Long Option trade (Calls or Puts)
    18:14
    Lecture 39: Live Long Call trade on Chipotle Mexican Grill (CMG)
    11:51

    Section 9 - Live Long put trade on FXE - Euro ETF

    Lecture 40: Long Put trade idea and entry on FXE
    18:40
    Lecture 41: Trade Management using sophisticated Conditional Orders
    19:19
    Lecture 42: Trade Management on Long Put FXE ("Milk your winners")
    10:18

    Section 10 - Strategy and optimization of Single Option Trades

    Lecture 43: Pitfalls of Short Calls and Short Puts
    11:40
    Lecture 44: Four Strategy choices - 2 Bullish and 2 Bearish
    19:39
    Lecture 45: Strategy Case study - S&P 500 Index and GOOG, AAPL and PCLN
    08:42
    Lecture 46: Strategy case study - Linkedin Trade idea
    08:34
    Lecture 47: Strategy Case study - CAT Trade idea
    12:03

    Section 11 - Adjustments for Single Options

    Lecture 48: Philosophy of Adjustments
    09:39
    Lecture 49: Adjustments for Long Call positions
    15:03
    Lecture 50: Adjustments for Short Calls, Long Puts and Short Put positions
    15:42
    Lecture 51: CONCLUSION OF BUYING CALL AND PUT OPTIONS
    05:22

    MoreInfo: HERE


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    Hari Swaminathan - Options Basics 3 courses

    Hari Swaminathan - Options Basics 3 courses

    Hari Swaminathan - Options Basics 3 courses

    Hari Swaminathan - Options Basics 3 courses

    Hari Swaminathan - Options Basics 3 courses


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