About this course
This is our deepest derivatives programme, and it assumes you already know the basics. The focus is not on exotic strategies for their own sake, but on managing risk and executing with discipline over ten hands-on days.
Risk disclosure on derivatives
9 out of 10 individual traders in the equity Futures & Options segment incur net losses. That is exactly why every [New training company] programme puts capital protection and discipline ahead of strategy.
Who this course is for
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You understand the basics of F&O and want to trade them properly.
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You want structured strategies with clear rules, not gut feel.
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You are serious about risk management and disciplined execution.
What you'll learn
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Option strategies — Spreads, hedges and multi-leg positions — when they help and when they do not.
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Managing open risk — Adjusting, rolling and cutting positions before they run away from you.
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Expiry and events — Handling expiry day, results and news without getting caught out.
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Execution discipline — Position sizing, journalling and the rules that keep advanced traders consistent.
How it's taught
Every session is hands-on and delivered in Malayalam, English and Tamil, so you learn in the language you think in. We teach [address], with the option to join online. There are no tips and no guaranteed returns — only understanding, discipline and ongoing support after the course ends.
₹10,000
full course
Duration
10 days
Format
In person & online
Languages
ML · EN · TA
Level
As per course
Futures & Options — Advanced
Strategy, risk management and execution in depth, for traders ready to go further.

