Futures & Options (F&O) Trading Course

Learn Professional Futures & Options Trading from Market Experts

The Futures and Options Trading Course (F&O Trading Course) offered by ISFM is a comprehensive professional training program designed for traders, investors, working professionals, entrepreneurs, and aspiring market participants who want to learn derivatives trading from basic to advanced levels.

This specialized program provides practical knowledge of Futures Trading, Options Trading, Option Chain Analysis, Open Interest Analysis, Put Call Ratio (PCR), Option Greeks, Hedging Techniques, Volatility Analysis, and Professional Risk Management.

Whether you want to generate a second income, become a professional trader, improve your options trading skills, or manage your own portfolio confidently, this course provides the framework, strategies, and practical market exposure required for success.

₹30,000 /One Time.
What Will You Get?
Why Choose ISFM?

Prerequisites

Prior to enrolling, you should have the following knowledge:

Who Can Join

Get Learned by NISM Certified Trainer

Our Trainer are not just faculty members, they are full time professional traders.

Program Outline

1.) What are Derivatives?

  • Definition
  • Purpose
  • Benefits
  • Market Applications

2.) Types of Derivatives

  • Futures
  • Options
  • Forwards
  • Swaps

3.) Evolution of Derivatives Market

  • Indian Derivatives Market
  • NSE Derivatives Segment
  • Global Derivatives Market

Learning Outcome: Participants understand the foundation of derivatives trading and its role in financial markets.

1.) Futures Contract Specifications

  • Lot Size
  • Expiry Date
  • Margin Requirements
  • Settlement Process

2.) Types of Futures

  • Stock Futures
  • Index Futures
  • Commodity Futures
  • Currency Futures

3.) Futures Trading Concepts

  • Long Position
  • Short Position
  • Mark-to-Market Settlement
  • Margin Calls

4.) Futures Trading Strategies

  • Trend Trading
  • Hedging
  • Arbitrage Opportunities

Learning Outcome: Participants gain practical knowledge of futures market operations and trading strategies.

1.) What is an Option?

  • An option gives the buyer the right, but not the obligation, to buy or sell an asset at a predetermined price before expiry.

2.) Option Terminology

  • Strike Price
  • Expiry Date
  • Premium
  • Intrinsic Value
  • Time Value

3.) Types of Options

  • Call Option
  • Put Option

Learning Outcome: Participants understand how options work and how option pricing behaves.

1.) Directional Trading Using Options

  • Long Call Strategy
  • Long Put Strategy

2.) Advantages of Option Buying

  • Limited Risk
  • Unlimited Profit Potential
  • Lower Capital Requirement

3.) Challenges

  • Time Decay
  • Volatility Impact
  • Premium Erosion

Learning Outcome: Participants learn when and how to use option buying effectively.

  • Time Decay Advantage
  • Probability-Based Trading
  • Income Generation
  • Covered Call Strategy
  • Cash-Secured Put
  • Acquire stocks at preferred prices.
  • Short Strangle
  • Range-bound market strategy.
  • Iron Condor
  • Risk-defined income strategy.

Learning Outcome: Participants understand professional option-selling methodologies.

1.) Understanding Option Chain Data

  • Open Interest
  • Volume
  • Change in Open Interest
  • Strike Price Distribution

2.) Market Sentiment Analysis

Identify:

  • Support Zones
  • Resistance Zones
  • Institutional Positioning

Learning Outcome: Participants learn how to interpret option chain data for trading decisions.

  • Types of OI Build-Up
  • Long Build-Up
  • Short Build-Up
  • Long Unwinding
  • Short Covering

Learning Outcome: Participants learn institutional positioning analysis techniques.

1.) Market Sentiment Indicator

  • Bullish Sentiment
  • Bearish Sentiment
  • Contrarian Analysis

2.) Practical Applications

  • Trend Confirmation
  • Reversal Signals
  • Expiry Analysis

Learning Outcome: Participants learn to use PCR effectively alongside other indicators.

  • Delta
  • Gamma
  • Theta
  • Vega
  • Rho

Learning Outcome: Participants gain advanced understanding of option pricing behavior.

1.) Understanding Market Volatility

  • Historical Volatility
  • Implied Volatility (IV)
  • Future volatility expectations.

2.) IV Strategies

  • High IV Environments
  • Low IV Environments
  • Volatility Expansion
  • Volatility Contraction

Learning Outcome: Participants learn volatility-based trading approaches.

1.) Bullish Strategies

  • Bull Call Spread
  • Bull Put Spread

2.) Bearish Strategies

  • Bear Put Spread
  • Bear Call Spread

3.) Neutral Strategies

  • Iron Condor
  • Iron Butterfly

4.) Volatility Strategies

  • Long Straddle
  • Long Strangle

Learning Outcome: Participants learn professional multi-leg option strategies.

  • Position Sizing
  • How much capital to risk per trade.
  • Risk-Reward Analysis
  • Stop Loss Planning
  • Professional risk control techniques.
  • Drawdown Management
  • Protecting trading capital.

Learning Outcome: Participants learn how to survive and grow in derivatives markets.

1.) Common Trading Mistakes

  • Overtrading
  • Revenge Trading
  • Fear-Based Decisions
  • Greed-Based Decisions

2.) Building Consistency

  • Trading Plans
  • Journal Maintenance
  • Performance Review

Learning Outcome: Participants develop the mindset required for long-term trading success

Program Instructors

Unlike typical professors, our instructors come from Fortune 500 and Global 2000 companies.

Reviews

₹30,000 /One Time.
What Will You Get?
Why Choose ISFM?
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