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7+ Effective Strategies for
Nifty | Sensex | Bank Nifty | Fin. Nifty
📅Get Instant Access to 4 Hrs. Masterclass
Validity - 2 Years
⚡️In this Masterclass, you'll learn Debit & Credit Spreads, Calendar & Ratio Spreads, Hedging and needed Adjustments.
This masterclass is for traders who want to deploy low-risk hedged option strategies, ideal for all market conditions for weekly and bi-weekly expiries.
🔥 Why this Masterclass?
✔ Learn 7+ Effective Index Spread Strategies
✔ Learn Adjustments with Backtesting
✔ Portfolio Hedging with Spreads (Newly Added)
✔ Identify Market Direction with S/R & GAPS (Newly Added)
✔ No Stop-Loss Stress
✔ Protection from Overnight Gaps
✔ Trade Safer & Smarter with Spreads
Here is the feedback from previous batch members 👇
👉🏻 We have added a new topic "Beta-Based Portfolio Hedging" - a game-changer for investors and positional traders.
This will help you hedge your portfolio effectively, especially during bear markets.
"Along with Strategies – You'll also Master the Right Adjustments to Stay Profitable!"
"Adjustments increase win rates – learn exactly when & how to tweak your trades. Will explain the adjustments with actual backtesting simulations."
"Timely Exit is Key"
"Not all spreads should be held until expiry. Exiting at the right time reduces losses and improves your overall reward-to-risk ratio."
This 4-Hr. masterclass will provide unique spread strategies that can be deployed based on the market conditions and effective ways to adjust them when the market turns against us.
Topic Include 👇🏻
These spreads for suitable for moderate momentum markets and get you a better reward-to-risk ratio.
One of the most effective spreads which not many traders are aware of. This is our favourite spread of all since it has the best probability of profit (POP)
4 types of ratio spreads can be deployed, these are unique spreads and are suitable only in specific scenarios.
This is the game changer as you can turn your loss-making spread to either breakeven or even into profits. using adjustment technique the win rate of spreads can be improved from 45% to 75%.
Options are not just for traders, even investors can make the best use of it by creating hedge positions to Beta-Based Portfolio Hedging, a game-changer for investors and positional traders. This will help you hedge your portfolio effectively, especially during bear markets, by aligning your position size with your portfolio beta. If you’re serious about risk management, this is something you can’t ignore.
Timing of deployment is also key, weekly & monthly expiries have few days and weeks where spreads are better deployed, we will discuss it in detail.
Different strategies will have different capital requirements, we will discuss how to optimize the capital.
Without the right risk management, all the above concepts are of no use, we will discuss a detailed risk management plan exclusively for Option Spreads.
Learn to Identify Index potential trends using SMA, GAPS & Key Breakout & Fakeouts.
Chartered Accountant
CFA LEVEL 3 Cleared
Equity & Options Trader
5+ Years of Experience
Market Educator for over 5000 Students
Life Time Access to E-book which covers all the topics and strategies mentioned in the masterclass.
How is this spreads masterclass is different?
Along with the time-tested strategies, this course will also teach you how to overcome main challenges in options trading 👇🏻
Based on current market conditions, the minimum capital needed to deploy 1 lot of spread position is around 50K. It's suggested for those traders who got at least 1.5 to 2 Lakhs of Capital.
Yes, we have taken into account the new SEBI rules regarding the lot size changes and expiry day changes and curated the content accordingly.
The Masterclass is in Basic English.
You can mail us @ mindfluentialtrading@gmail.com