
A thorough look at the exercise and assignment process and how it can potentially affect our options trading strategies
Rolling up moves an existing option to a higher 115 strike within the same expiration, closing old leg and opening a new long or short position for credit or debit.
Roll up and out by moving a short February 95 put to March 100, using an adjustment trade with a diagonal put spread and tracking PNL.
Learn to manage options positions by tracking a running total of credits and debits, and apply adjustments such as rolling, exercising, and selling covered calls.
Adjust a losing short call by selling an out-of-the-money put to create a short strangle, increasing credit while reducing delta risk and preserving profit potential.
Roll out straddle from January to February to extend duration, executing a buy to close and sell to open for a net credit, while delta shifts from -79 to -44.
Close out the short February 170 straddle by buying to close for a debit, leaving no position and yielding a final pnl of 493.
Analyze payoff and pnl diagrams to compare expiration vs current lines, and learn how time to expiration and implied volatility shape options strategies.
Learn about the Wheel options strategy, what it is, when to put it on, its pros and cons and what you will need to start trading it.
Mechanics of the Wheel strategy. How to initiate it, how to reestablish it, what to do after assignment and how to keep track of its cash flow from beginning to end. Also, for the more visually-oriented traders, we'll go over a flowchart explaining all steps and decision points involved in trading the Wheel.
We'll analyze an example of a Wheel trade from beginning to end and all the different trades involved in it. We'll see how its P/L evolves over time. Finally we'll compare the wheel with a buy-and-hold strategy and we'll determine the instances where this near "set and forget" strategy makes sense versus a straight buy-and-hold strategy.
Most options courses teach you how to open a trade.
But once a position is live in the market, the real question becomes:
How do you manage it?
Markets move.
Volatility changes.
Expiration approaches.
Professional options traders rarely leave a position untouched. Instead, they adjust, roll and reshape positions over time to defend risk, extend duration and improve profitability.
This course teaches you exactly how to do that.
What You Will Learn
In this course you will learn how professional traders manage options positions over time, not just how to open them.
Instead of focusing only on individual options strategies, we introduce the concept of an Options Position. An options position can evolve over time through a series of adjustment trades that respond to changing market conditions.
You will learn how to:
• Adjust options trades when the market moves against you
• Roll options positions to extend duration
• Modify positions while keeping the original trade idea intact
• Track all credits and debits across multiple adjustments
• Understand the true cost and structure of your current position
• Monitor open and realized P/L correctly
• Manage risk and capital more efficiently
By the end of this course, you will understand how experienced traders actively manage options positions instead of simply waiting for expiration.
Continue Your Options Trading Education
This course is part of the Options Trading in Plain English series, a set of courses designed to guide traders from learning the fundamentals of options trading to managing real options positions in the market.
If you are new to options trading, you should start with:
Options Trading for Beginners: Calls, Puts & Strategies
This course introduces the fundamental concepts behind options trading including calls, puts, volatility, option Greeks and the most common options strategies.
If you want to learn the deeper mechanics of options pricing and professional strategies, you can continue with:
Advanced Options Trading: Volatility, Greeks & Strategies
In this course you will explore topics such as option pricing theory, volatility dynamics, synthetic positions, advanced Greeks and professional options strategies.
This course then focuses on the final step in the learning process: managing options positions once they are live in the market.
Together, the three courses form a complete learning path from options fundamentals, to advanced strategies, to professional trade and position management.
The 7 Adjustment Trades You Will Master
Professional options traders rely on a small number of adjustment techniques that can reshape almost any position.
In this course you will learn how to use all seven:
• Adding a leg
• Removing a leg
• Rolling up
• Rolling down
• Rolling out
• Rolling up and out
• Rolling down and out
These adjustment trades allow you to:
• Defend positions when markets move against you
• Take partial profits
• Extend positions beyond expiration
• Manage buying power and capital usage
• Transform strategies as market conditions change
Understanding the Equivalent Options Position
Managing options positions requires keeping track of all credits and debits over time.
Throughout the course you will learn how to calculate your Equivalent Options Position, which represents the true position you currently have after accounting for:
• the initial trade
• all adjustment trades
• exercises and assignments
• all accumulated credits and debits
This is one of the most important concepts used by experienced options traders.
Real Market Examples
Theory alone is not enough.
Throughout the course we will analyze real options trades using real market data.
You will see step-by-step examples of positions being adjusted over time, including:
• A full trade lifecycle example using PepsiCo
• A position management example using McDonald's
• How to monitor open P/L vs realized P/L
• How to analyze the evolution of a position from initial trade to final close
All platform demonstrations use thinkorswim and real options market data.
Why Managing Options Positions Matters
Managing options positions allows you to become a more flexible and strategic trader.
Instead of treating each trade as a one-time decision, you will learn how to:
• Defend positions under pressure
• Take profits while keeping trades open
• Extend trades when expiration approaches
• Adapt positions as your market outlook changes
• Manage capital and risk more efficiently
In short, you will learn how to actively manage your trades like professional options traders do.
Course Topics
This course covers:
• The life cycle of an option
• Options positions, trades and legs
• Adjustment trades and rolling techniques
• Tracking running totals and equivalent positions
• Managing real trades step by step
• Monitoring open P/L and realized P/L
• Understanding payoff diagrams over time
• The Wheel options strategy
Who This Course Is For
This course is designed for traders who:
• Already understand basic options concepts
• Want to learn how to manage options trades professionally
• Want to improve risk control and trade flexibility
• Want to move beyond simple buy-and-hold options strategies