⏱ 50 min
📚 9 lessons
🎧 Audio version
About this course
Learning the mechanics of options and executing a series of trades is a beginning. Building a consistent trading process — with defined selection criteria, systematic position sizing, a structured trade review practice, and the discipline to close positions according to a plan rather than emotion — is what sustains performance over the long arc. This course addresses the process layer that sits above individual trade mechanics.
By the end of this course you will be able to define a personal options trading process with explicit rules for underlying selection, position sizing, and exit conditions, conduct a structured post-trade review that identifies process errors vs. outcome variance, manage a basic options position that moves against you using a defined decision framework, and assess your own trading results at the process level rather than the outcome level.
What you will learn:
- Position sizing for basic options: defining maximum loss per trade as a percentage of account and calculating the corresponding contract quantity
- Underlying selection criteria: the characteristics of underlyings suitable for basic options strategies — liquidity, spread width, and volatility level
- Exit planning before entry: defining the price levels and time thresholds that trigger exit before placing the trade
- Managing a losing long option: the decision criteria for holding, rolling, or closing a position that has moved against you
- Managing a winning position: the case for taking partial or full profit before expiration vs. holding to maximum gain
- Post-trade review template: recording entry rationale, outcome, process errors, and lesson identified for each closed trade
- Process error vs. outcome variance: distinguishing a trade that lost due to a process mistake from one that lost due to random market movement
- Personal options trading plan template: formalising selection criteria, sizing rules, exit rules, and review cadence
The course uses extended case studies — a long call that reaches 50% profit before reversing and expiring worthless, a long put held through an implied volatility collapse that turns a correct directional call into a losing trade, a short put assignment that is handled systematically vs. reactively. Reflection prompts ask you to reason through each process decision before reading the worked analysis.
This course is designed for options traders who have completed foundational options education and want to build a more disciplined and consistent trading process. Written for those who are no longer new to options mechanics but are making decisions inconsistently. This course is informational and educational and does not constitute financial or investment advice. Past results do not guarantee future outcomes.
What you'll get
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📜
Certificate of completion
Add it to your LinkedIn profile
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💬
Personal AI tutor
Stuck on a lesson? Ask your built-in tutor anything, any time.
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🎧
Audio version included
Learn on the go — no screen needed
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♾️
Lifetime access
Come back anytime, no expiry
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📱
Phone or computer
Works anywhere, any device
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💸
30-day refund
No questions asked
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⚡
Short & focused
50 min of practical content
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Frequently asked
What do I need to take this course?
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Just a phone or computer with internet. No installs, no special hardware.
How do I pay?
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By card via Stripe, or with cryptocurrency. We do not store card details — Stripe handles them securely.
Can I get a refund?
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Yes — full refund within 30 days, no questions asked.
How long will I have access?
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Forever. Once you purchase, the course is yours to revisit anytime.
Will I get a certificate?
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Yes. On completion you'll receive a certificate you can add to your LinkedIn profile.
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