Options Mastery Program
Structured Options Trading with Controlled Risk
Designed and taught by Amrita Mashar Joshi ·
17+ Years Market Experience
Who This Program Is For
- Traders transitioning from futures or equity into options
- Income-focused traders seeking structured strategies
- Traders confused by Greeks & volatility
- Traders wanting hedged & rule-based systems
- Serious market participants who want defined risk exposure
This program trains you to think like a professional options trader not a premium chaser.
What Makes This Program Different
Program Structure
10 Structured Sessions | 3 Phases
PHASE 1: OPTIONS FOUNDATIONS (2 Sessions)
Session 1 – Options Market Fundamentals
Topics Covered:
- What options really are (risk transfer logic)
- Calls & Puts explained practically
- Option payoff structures (visual learning)
- Option chain reading (ATM, ITM, OTM)
- Expiry cycles & liquidity understanding
Develop a clear understanding of how options behave in live markets.
Session 2 – Greeks, Volatility & Professional Risk Control
Topics Covered:
- Delta, Gamma, Theta, Vega — trader’s perspective
- Implied Volatility (IV) vs Realized Volatility
- IV Rank & IV Percentile
- Strike selection using Greeks
- Risk-defined strategy thinking
Select strategies based on volatility and probability not guesswork.
PHASE 2: DIRECTIONAL STRATEGIES (6 Sessions)
Session 3 – Long Call & Long Put
Topics:
- Trend + momentum conditions
- Entry timing & exit rules
- Stop-loss logic for option buyers
- Avoiding time decay traps
Strong breakout or momentum days
Session 4 – Bull Call Spread
Topics:
- Risk–reward optimization
- Strike selection using Delta & IV
- Capital efficiency vs naked buying
- Managing spreads till expiry
Controlled bullish view with limited risk
Session 5 – Bear Put Spread
Topics:
- Downtrend participation
- Capital efficiency vs futures
- Avoiding IV overpayment
- Pre-expiry exit planning
Weak markets & breakdown setups
Session 6 – Call Credit Spread
Topics:
- Using resistance levels
- Probability-based trade selection
- Risk caps & adjustment rules
- Margin planning
Range-high rejection zones
Session 7 – Put Credit Spread
Topics:
- Support-based trade construction
- Position sizing & capital allocation
- Handling adverse moves
- Rolling & adjustment logic
Sideways to bullish markets
Session 8 – Ratio & Synthetic Directional Trades
Topics:
- Creating synthetic futures using options
- Limited-risk directional setups
- Advanced strike combinations
- Professional capital-efficient trades
Directional conviction with lower capital exposure
PHASE 3: NON-DIRECTIONAL STRATEGIES (2 Sessions)
Session 9 – Short Strangle (Hedged)
Topics:
- IV expansion & contraction logic
- Range identification
- Risk management & hedge adjustments
- Margin & capital control
High IV, range-bound markets
Session 10 – Iron Condor
Topics:
- Strike placement using probability
- Managing winners & losers
- Adjustment framework
- When NOT to trade condors
Sideways markets with volatility edge
What You'll Walk Away With
By the end of this program, you will:
- Understand option behavior, Greeks & volatility deeply
- Execute 6 directional + 2 non-directional strategies
- Select strikes using probability & Delta
- Trade with predefined maximum risk
- Construct income-generating option structures
- Avoid emotional premium chasing
- Build a professional options trading framework
Ideal For
Your Trainer
Amrita Mashar Joshi
Researcher · Trader · Fund Manager · Mentor
With 17+ years across market research, derivatives, live trading, and trader mentorship, Amrita brings an institutional-grade mindset to every session. Her approach strips away noise and focuses on structure, discipline, and risk control — the pillars serious traders need.
Testimonial
Trader Success Stories
Ready to Trade Options with Clarity & Control?
Stop gambling with premiums.
Start building structured option strategies.