
Explore futures and options concepts, including terminology, margin, mark-to-market, risk and reward, option chains and open interest, bullish and bearish strategies, and hedging with futures via practical order placement.
Learn why futures and options offer hedging tools, pricing insights, and risk-reward opportunities for trading across volatile markets.
Explore how futures contracts commit to buy or sell an asset on a future date at today's price, with fixed lot sizes and expiry.
Buyers buy futures when bullish and can book profits or losses anytime; if held to expiry, they must buy 1200 stocks. Sellers may book profits early and must deliver 1200 stocks at expiry.
Explore stock futures and index futures on Indian exchanges, and learn how lot sizes for Nifty 50, Nifty Bank, Reliance, and Bajaj Auto vary.
Explore the Nifty 50 index as a top 50 Indian stock basket, spanning 14 sectors, with financials as the largest weight and periodic reconstitution.
Explore Bank Nifty, a key Indian bank index, learn how heavyweights like HDFC Bank and ICICI Bank drive it, and how weekly index options and monthly futures shape trading income.
Understand futures expiry by recognizing the contract expiry date, monthly cycles (near, next, far months), and last Thursday rules to plan closing positions.
Explore futures margin requirements and stock margin comparisons using Infosys, Bharti Airtel, and HDFC Bank examples; learn how volatility and broker rules shape margins.
Examine how futures profit and loss are calculated for buyers and sellers using a 1000-unit lot, with price moves from 500 to 600 or 500 to 300.
Explore how mark to market adjustment drives daily changes in ledger balance and cash for futures trading, highlighting margin requirements, intraday profit and loss, and broker calls for funds.
Close futures positions any time by booking profit or loss, or roll over to the next month; if you hold to expiry, convert to stock delivery by paying the differential.
Compare stocks and futures by highlighting lot multiples, margin differences, expiry-driven holding periods, dividend treatment, short selling and intraday vs long-hold flexibility, and daily mark-to-market.
Compare stock and futures trading return on investment using a 300-share tcs example, highlighting capital requirements, profits, and higher returns in futures with margin, plus directional risk.
Compare index futures with stock futures to show easier hedging with weekly expiry options, long-term diversification, and lower risk via exchange-monitored indices like Nifty 50 and Bank Nifty.
Compare index futures and stock futures by margin and return on investment; lower margins yield higher percentage returns, illustrated with Nifty, Bank Nifty, Reliance, and ICICI Bank.
Explore futures and options trading from a 360-degree view, highlighting key things to remember for effective decision making.
Get the final word on futures within an introduction to futures and options trading from a 360-degree perspective.
Explore essential terms to understand when placing a futures order, within a 360-degree view of futures and options trading.
This course offers a demo on how to place orders for futures, guiding you through futures trading basics as part of a 360-degree view.
Explore the basics of options in the futures and options market, including call and put options, lot size, option premium, strike price, expiry, and the right but not an obligation.
Explore call and put options, how bullish or bearish views guide buying rights to buy or sell, and how European versus American options relate to exercising, expiry, premium.
Understand core option terms, including strike price, option premium, expiration date, lot size, and the roles of option holder and writer in futures and options trading.
Strike price defines the level at which calls buy and puts sell the underlying. The lecture shows NSE option chain data, weekly index expiries, and premium differences by strike.
Examine the payoff of a call option from the buyer’s perspective within futures and options trading, providing a 360-degree view of risk and potential profit.
Explore the payoff profile for a put option buyer within futures and options trading, offering a comprehensive view of strategies and outcomes.
Explore the payoff dynamics for a call option seller in futures and options trading, gaining a 360-degree view of risk and reward.
Analyze the payoff for the put option seller in futures and options trading, delivering a 360-degree view of payoff structures and strategy implications.
Compare option buyers and option sellers within futures and options trading, delivering a 360-degree view of trading concepts.
Investigate the moneyness of options within futures and options trading, delivering a 360 degree view of how option characteristics relate to underlying assets.
Examine option expiry as part of a comprehensive, 360-degree view of futures and options trading.
Explore the Black-Scholes model for option pricing within a 360-degree view of futures and options trading.
Gain a 360-degree view of futures and options trading while examining the factors that impact options pricing.
Study the intrinsic value of option within the context of a 360 degree view of futures and options trading.
Explore the time value of option within futures and options trading, offering a 360-degree view.
Explore the volatility of options within a 360-degree view of futures and options trading today.
Explore the option chain in futures and options trading from a 360 degree view, linking theory to practical insights.
Explore open interest in futures and options trading from a 360 degree view, delivering a concise, course-aligned overview of this key concept.
Explore why option selling matters in futures and options trading, presented through a 360-degree view.
Explore key terms to know when placing orders in futures and options trading, gaining a 360-degree view of how order placement works.
Explore a 360-degree view of futures and options trading and learn how to place an option order in a practical demo.
Learn how the bull call spread leverages a rapid rise in price to generate gains in futures and options trading, as part of a 360 view of market strategies.
Explore the bull put spread within an introduction to futures and options trading, providing a 360-degree view of this options strategy.
Explore the bear call spread in futures and options trading, featuring a hundred call option.
Explore the bear put spread within futures and options trading as part of a 360-degree view.
explore the long straddle within futures and options trading from a 360 degree view, and assess its strategy implications.
Explore the long strangle within futures and options trading, offering a 360-degree view of the strategy's essentials in this course.
Understand the short straddle within futures and options trading, gaining a 360 degree view of the strategy, risk, and potential payoff dynamics.
Explore the short strangle strategy within futures and options trading as part of a 360-degree view.
Explore the married put within the context of futures and options trading, providing a 360-degree view of how this strategy functions.
Provide a 360 degree view of futures and options trading, with a focus on the married call concept.
Explore the Ranbaxy US FDA issue from 2013 within a 360-degree view of futures and options trading.
Explore PSU bank recapitalisation within the 360-degree view of futures and options trading. Understand the key concepts and implications for market participants.
Explore a 360-degree view of futures and options trading in the Covid 19 mayhem of 2020.
In this course ,You will learn the following aspects of Futures trading and Options trading
What are Futures - Basic terminology of Futures
Placing order of Futures, closing of Futures and insights on Margin requirements of Futures and risk management of Futures
Comparison of Index Futures vs Stock Futures
Futures hedging strategies
Stocks vs Futures
Options terminology
Call option
Put option
Option buying vs Option selling
Option pricing
Block Scholes model of Option pricing
Work sheets and graphs of Option buying and option selling
Basics of Option strategies for bullish , bearish and neutral markets
Impact of time and volatility on Options pricing
How place Options order
Straddle
Strangle
Bull call spread
Bull put spread
Bear call spread
Bear put spread
and so much more
The aim of this course is to make you understand all the basic things you need to know before entering in Futures and Options trading. By the end of the course you will be in a better position assess the risk , reward and capital requirement of F&O markets