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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 (egCredit Spreadsthat 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 

BOOK YOUR PLACE NOW

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.

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About Me

Manish Kataria is a Fund Manager. A CFA-qualified professional with 18 years’ experience in investment management and UK property. He has managed investment portfolios for JPMorgan and other blue chip investment houses. Asset classes managed include Equities, ETFs, Bonds, Funds and Options. Within property, he invests in and owns a range of assets including developments, HMOs, BTLs and serviced accommodation. InvestLikeAPro was set up so anyone can invest like a pro.

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