Set-&-Forget Investing in ETFs & Options – for Lasting Growth & Income …

Options Academy


Create your Options income machine in 6 weeks …

End-to-end implementation: done-with-you programme

You’ll walk away with confidence to run a focused Options strategy, implement advanced strategies, extract even more income and know how to safely use margin (leverage) in a moderate way to enhance returns.       

The format is similar to the main Investment Academy, with an emphasis on week-by-week guided implementation.

Past attendees have achieved consistently higher returns, with low maintenance

We go through a step-by-step process of actual trades, from identification to implementation.  Plus walk-through demos of trades and platforms in each class.   

We will all be putting on new trades (paper trades) in each class and assess/monitor them together, learning as we go along.   

 Here’s what we’ll cover:

  • Income-producing Vanilla Options strategies:  Cash-Secured Puts, Covered Calls and the Wheel Strategy
  • Enhancing your returns and Optimising your ROI – when/how to take profits early, rolling options more frequently – i.e. extracting ‘more bang for your buck’
  • How to safely multiply your returns by using margin
  • Strategy variations that enhance your returns 
  • Matching your personal objectives with the appropriate Options strategies
  • Platforms and functionality.  Practical demonstrations 
  • Selecting the right underlying stocks and ETFs for Options
  • Screening for options – using watchlists and other screening tools so you can identify options to trade
  • Step-by-step demos and analysis of actual trade ideas
  • Everyone will execute new options positions based on our latest learnings
  • Collective monitoring and action, each week, post-trade:  learning as we go along
  • Making more sense of the platform and information in it
  • Customising strike prices and deltas to suit the situation
  • Technical analysis to help with option and strike selection
  • Live Option chain analysis
  • 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 vs letting options expire
  • Rolling options when strike prices are breached
  • Recording your trades and tracking your P&L
  • Avoiding mistakes and traps
  • Beyond the Wheel – Strategies to profit from Down Markets

Date/Times:  29th April 2024

Duration:  6 weeks, Mondays 6-8pm

Price:  £2,750 + Vat

Price Includes:  12 months’ membership to the Investor Circle Mastermind.  This includes the next IC Mastermind (22nd April) focused on Options Investing.  


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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