Focused Options Academy
Joint-implementation: Options-for-income programme …
Within 6 weeks, you’ll be running an income-producing options portfolio, already generating income in a structured, conservative and balanced way.
Content includes double-income strategies, ways to multiply returns in a risk-controlled way and use of moderate margin.
After 6 weeks you’ll have all the knowledge and tools to independently and comprehensively run your options portfolio, for long-term income.
The format is similar to the main Investment Academy, but with an emphasis on week-by-week guided implementation and putting on positions together, live in class.
Past attendees have earned consistently higher returns, with low maintenance
We go through a step-by-step process of walking-through actual trades, from identification to implementation. Joint-implementation of trades in each class. With live instant support.
Here’s what we’ll cover:
Like the Core & Satellite approach, you choose which strategies best suit you, personally. Ones shown in blue can be seen as “Core” …
- Nailing the initial strategies: Cash-Secured Puts, Covered Calls and the Wheel Strategy
- How to safely multiply your returns 2-3x by using moderate margin on the same strategies
- Strangles – double your income (simultaneous Put + Call)
- Strategy variations to boost returns (eg ‘Credit Spreads‘ that can earn 5-8% pm)
- Everyone will execute options positions together, based on our weekly learnings
- Collective monitoring, each week, post-trade: learning as we go along
- Ways to access Bitcoin ETFs via options
- Ways to acquire/control assets like Gold and Silver at a fraction of their price
- Poor Man’s Covered Calls and LEAPs
- Former student Brad Lazarus will teach his “1-1-1” strategy – how to replicate it
- Strategies to profit from Down Markets
- Selecting the right underlying stocks and ETFs
- Making more sense of the platform and information in it
- Customising strike prices and deltas to suit your personal situation
- Technical analysis to help with option and strike selection
- Why Volatility matters – detailing the various Vol measures including Implied Volatility, Historical Volatility, IV Rank, IV% and IV charting
- Using the Greeks. Delta, Theta etc – why they matter
- Post-Trade strategy – taking profits early (rolling) vs letting options expire (enhancing returns)
- Rolling options if/when strike prices are breached
- Tracking your trades and P&L
- Avoiding mistakes and traps
- Click below for the opportunity to have your Focused Options income portfolio running in the new year
Date/Times: 12th November 2024
Duration: 6 weeks, Tuesdays 5-7pm
If you have a SSAS (or Ltd Company) it may pay for this training. For SSAS, use your business or personal card to make the payment and then send a “recharge invoice” to your SSAS administrator for your SSAS to reimburse you. A recharge invoice template will be provided to you at registration.