
Learn risk-to-reward principles and advanced option strategies, including iron butterfly, long and short fly, and strangle, with beginner primers and live trades on chart-based setups.
Discover beginner-friendly option strategies like credit spreads, time spreads, and risk reversal, with daily income concepts, in-the-money and at-the-money calls, and hedging techniques.
Learn essential options terms, including call and put options, strike price, market price, and the meanings of in the money, at the money, and out of the money.
Explore how options trading uses volatility; selling options when bands are far apart or close together to profit from volatility changes. Learn the long iron Quandong strategy.
Learn how Bollinger Band details reveal price direction via the red line and upper and lower bands, contractions, and how results season and dividends shape options trading strategies for income.
Explain a single credit spread: selling one option and buying another to collect a net credit and aim for profit; introduce an iron condor with two trades for lower margin.
Explore how an options time spread uses near-term expiry and premium decay with a $1000 strike put and call, revealing profits from premium difference and keeping the premium at expiry.
Explore risk reversal options trading, selling an out-of-the-money put and buying an out-of-the-money call with the same expiry to create a synthetic long position.
Explain risk reversal as a hedge or speculation tool, creating synthetic long or short positions with options. Note premium, margin, and hedging for existing stock without full upfront investment.
Explore risk reversal and vol-skew, showing how call implied volatility can exceed put volatility and create a positively skewed option distribution.
Explore a bullish risk reversal that forms a synthetic long by buying a call and selling a put, funded by premium, with expiry-linked profit potential on price advances.
Trade a bullish risk reversal strategy on Bank of America stock by buying weekly call options and selling puts to target quick, premium-based profits with defined risk.
Learn a hedging risk reversal example used by hedge funds and mutual funds to protect a stock position, combining calls and puts to manage risk around earnings and news.
Apply hedging risk reversal to protect profits as a stock advances, using near-term put and call options to lock in gains, manage risk, and control potential losses.
Explore risk reversal timing and hedging strategies using options to protect profits around events, with emphasis on expiry choices, bullish and bearish scenarios, and spin-offs or stock splits.
Master hedging risk in options trading using put and call options with dynamic strike levels. Apply risk reversal concepts and Bollinger band cues to protect gains.
Execute a live CTSH risk reversal options trade by selling puts and buying calls around a 73 strike, managing max loss and net debit to target profit as price moves.
Explore the collar options trading strategy and the income strategy deck in this advance options trading course to secure real profits with practical options trading insights.
Explore beginner options basics, including call options, put options, and in-the-money and out-of-the-money concepts, then learn the collar options strategy and its chart-based implementation for practical earnings.
Learn how the collar option trading strategy hedges risk by using long puts financed with short calls to cap losses and profits, while earning a net credit.
Learn how a stock or fx collar uses a long put at a lower strike (the floor) and a sold call at a higher strike (the cap) to limit risk.
Apply a collar by buying a put while selling a call against 100 shares to cap upside and protect downside, with premium dynamics creating a net credit and risk management.
Explore collar option trading on charts, teaching when to place call and put positions, how to use net credit premium strategies, and manage risk through price action and Bollinger bands.
Examine how an interest rate collar uses cap and floor to limit exposure, earn a net premium, and stabilize profits for high net worth investors.
Explore how an interest rate collar caps payments at 7 percent and sets a floor around 5 percent, using premiums to manage risk and gain peace of mind.
Discover how the collar option strategy limits risk and caps profits in high volatility, using zero-cost or premium income collars to protect stock and income.
Explore how call and put options work, including in-the-money and out-of-the-money concepts, premium, time decay, and color option strategies to hedge profits.
Discover the iron butterfly options trading strategy course from the diy advance options trading series, featuring risk forecasting, precise trade management, and profit booking for a stable monthly income.
Learn the iron butterfly options trading strategy, covering put and call basics, in-the-money, out-of-the-money, and at-the-money concepts, and how to forecast risk and book profits for monthly income.
discover how the iron butterfly, an advanced options trading strategy, creates limited risk and profit by trading four options across three strike prices for monthly income in low volatility environments.
Explore the long iron butterfly, a reverse iron butterfly options strategy that profits when expiry price lies between the out-of-the-money strikes, with losses limited by the premium.
demonstrates a long iron butterfly using August options on Facebook stock, detailing the multi-leg setup and the net debit of $500, with expiration outcomes showing max loss and max profit.
learn how to calculate break-even points in the iron butterfly using strike prices, the short call, and net premium received.
Explore the iron butterfly options strategy to generate monthly income by selling same-strike put and call, buying protection, and managing risk with stop losses and time decay.
Learn how to implement a long iron butterfly using three strike prices, manage a trading plan, and book profits quickly while watching for contraction and exit signals.
Explore the short iron butterfly: sell at-the-money put and call, buy out-of-the-money put and call, achieve a net credit, and profit if the stock expires at the strike price.
this lecture demonstrates a short iron butterfly with strikes 145, 150, and 155, highlighting net credit, max profit, max loss, and breakeven points.
Learn a short iron butterfly trade using candlestick charts and bollinger bands to spot contraction, set defined max loss and break-even, and book weekly options profits with disciplined exits.
Compare iron condor and iron butterfly, two non-directional short volatility trades that target the same price range, with butterfly offering higher upfront premium and stronger risk-reward.
Discuss low delta and short strategies, including long iron fly and short iron quando trades, with timing, time decay, and profit booking across weekly to 40-day expiries.
*** Course access includes quizzes & homework exercises, 1-on-1 Options Trading instructor support and LIFETIME access! ***
Hear why this is one of the TOP-NOTCH Options Trading course on Udemy:
I believe it is a good value for the money. He offers a lot of information and is willing to help.
-Dwight Douglas
The Author of this course explains in great detail what is important to become a successful options trader. Thumbs up!
-LaPonce VanCrete
I am enjoying this course even more than I anticipated. The instructor is clear and knowledgeable, and he seems to enjoy teaching the subject. The strategies are innovative and taught in a way that makes them easy to comprehend.
-Darrell Robinson
TOP-NOTCH Options Trading Instructor
I currently have 71 Knowledge programs with 20,520+ Minutes of Content (342 hours in total) with 112,000+ Satisfied Students enrolled. That’s 14+ days of learning material!
I am currently mentioned in "Popular Instructors" tab on Udemy Business/Finance Section.
Options Trading Course Details:
The Risk Reversal, Collar, Iron Butterfly, Strangle and How to Pick Stocks Options Strategy is one of the most popular trades of all Options Trading, as it gives you double premium (earning) as Income.
I will analyze the risks, set adjustment points, and discuss my tools for trading Risk Reversal, Collar, Iron Butterfly & Strangle Options Trading strategy.
Whether you are a brand new Options Trading investor, or a veteran Options trader, this course will teach you the tools and a plan to reach your financial goals. I will reveal my secret plan to Trade Options, just like big plays, Hedge Funds, Market Makers & Floor Traders.
This Options Trading Course comes with a 30 day money back guarantee.
This Options Trading Course is not a get rich scheme but a Process that acts like a candle light in a dark Cave.
I have even added my tools to trade Risk Reversal, Collar, Iron Butterfly, Strangle Stock Options Strategy, Which will make it a safe Strategy to trade and earn money.
I will explain you basic concepts of Options Trading Strategies in easy way as if I am explaining to a 5 year old.
I will explain how to enter and exit a Options Trading Strategy.
I will explain how to avoid traps in Options Trading.
I will explain complicated tools to trade Options with confidence.
I will show live Options Trading examples.
This Options Trading course comes with guarantee that you can always apply for 100% Refund within 30 days.
Disclaimer Note: This Options Trading Course is for educational and informational purposes only. Not recommending of any particular investments such as a particular stock or mutual fund.
Options Trading Strategies: Risk Reversal, Collar, Iron Butterfly, Strangle & How to Pick Stocks for Options Trading.
Other Reviews:
I'd expected to learn something new, and I did!
-Mark Rubanovich
Thank you so mutch bro :x you change my life
-Martin Benda