Week 1: Introduction to Bank Nifty Options and Market Basics
- Day 1: Course Overview and Key Objectives
- Course introduction, expectations, and learning outcomes
- Overview of Bank Nifty index and its components
- Day 2: Understanding Options Basics
- Types of options: Calls and Puts
- Options terminology: Strike price, premium, expiry, etc.
- How Bank Nifty options differ from stock options
- Day 3: Options Pricing Fundamentals
- Intrinsic and extrinsic value of options
- Introduction to factors influencing option pricing (Greeks overview)
- Day 4: Bank Nifty Options Specifications
- Contract specifications for Bank Nifty options
- Lot size, tick size, expiry, and margin requirements
- Day 5: Introduction to Option Greeks
- Basic understanding of Delta, Gamma, Theta, Vega, and Rho
- Practical examples of Greek behavior in Bank Nifty options
Week 2: Options Strategies and Practical Applications
- Day 6: Bullish and Bearish Strategies
- Bull Call Spread, Bull Put Spread, Bear Call Spread, Bear Put Spread
- Choosing strategies based on market trends
- Day 7: Neutral Strategies
- Straddle and Strangle strategies
- Use cases in Bank Nifty for non-directional trading
- Day 8: Advanced Option Strategies
- Iron Condor, Iron Butterfly, and Calendar Spreads
- Practical analysis of strategy setup and risk management
- Day 9: Strategy Selection and Execution
- How to select the best strategy based on market conditions
- Placing trades in a live/demo environment
- Day 10: Practical Exercises and Case Studies
- Live market analysis and trade examples
- Reviewing case studies for applied learning
Week 3: Advanced Concepts in Bank Nifty Options
- Day 11: Understanding Volatility in Bank Nifty Options
- Impact of volatility on option pricing
- Implied volatility and historical volatility in Bank Nifty
- Day 12: Managing Greeks in Real-Time Trades
- Adjusting strategies based on changing Greek values
- Risk management using Greeks in live markets
- Day 13: Hedging and Adjusting Positions
- Hedging techniques for Bank Nifty options
- Adjusting trades to manage risks and maximize profits
- Day 14: Bank Nifty Expiry Day Strategies
- Intraday strategies specific to weekly and monthly expiries
- Managing risk and maximizing returns on expiry day
- Day 15: Practical Session: Live Trading Scenarios
- Real-life trading simulations for all strategies covered
- Interactive Q&A and troubleshooting common mistakes
Week 4: Risk Management, Psychology, and Final Assessment
- Day 16: Risk Management Essentials
- Position sizing, stop loss, and profit target strategies
- Managing emotional and psychological aspects of trading
- Day 17: Creating a Trading Plan
- Developing a personal trading plan based on risk tolerance
- Tracking and analyzing trading performance
- Day 18: Review and Analysis of Bank Nifty Options Trading
- Reviewing past trades, identifying areas for improvement
- Interactive session for feedback and strategy adjustments
- Day 19: Mock Trading and Final Assessment
- Mock trading session to apply all concepts learned
- Assessment to evaluate understanding and skill level
- Day 20: Course Wrap-Up and Q&A
- Summary of key learnings and practical takeaways
- Q&A session, next steps, and resources for continued learning
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