
SMC India Institutional Futures & Options Course
- Rs. 888.00
Rs. 3,200.00- Rs. 888.00
- Unit price
- per
We only teach how to trade like the institutions. WE DO NOT PROVIDE INVESTMENT TIPS. THIS COURSE IS SOLELY FOR EDUCATIONAL PURPOSES.
Strike Selection Mastery: Understand ITM, ATM and OTM options from basic to advanced level so you can choose the correct strike price with confidence.
Learn how the right strike selection improves your probability, controls risk, and increases overall trade accuracy.
Understanding Risk & Price Movement: Learn how Delta, Gamma, Theta and Vega actually affect your option trades in real market conditions.
Understand how time decay, volatility and price movement impact your positions so you can manage risk like professional traders instead of guessing.
Structured Market Reading: Learn how to analyze Open Interest, Change in OI, Volume and PCR to understand where major participants are building positions.
Identify strong support and resistance levels, detect short covering and long buildup, and read writer dominance.
Make data-driven trading decisions using real-time option chain interpretation instead of guesswork.
Volatility Awareness & Timing: Understand how India VIX measures market fear and how it directly impacts option premiums.
Learn when to buy options, when to sell options, and when to stay neutral based on volatility levels to improve timing and consistency.
Hedged Directional Trading: A directional option strategy where you trade with proper hedging to reduce risk and control time decay.
Helps you trade like institutions with lower margin usage and controlled downside.
Structured Range Selling: A zone-based option selling strategy that works within a 6% price range (3% up and 3% down) to target consistent returns with high probability setups.
Suitable for traders with sitting capital who prefer steady income with less screen time and low involvement.
Volatility Advantage Strategy: Learn how institutions continue making profits even during high volatility using structured calendar spreads.
This strategy helps you earn consistent returns by understanding and using implied volatility properly instead of stopping trading.
Smart Buy & Sell Combination: A combination of option buying and selling designed to reduce the impact of time decay while keeping profit potential strong.
It gives results similar to naked buying but with better risk control and improved capital protection.

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