
Indian Derivatives Market Education
Learn Futures & Options Concepts From Foundation to Expiry-Day Analysis

Learn Futures & Options Concepts From Foundation to Expiry-Day Analysis
Levels
4 Levels (Minor, Major, Bachelor, Master)
Mode
Offline Campus & Online Live
Course Overview
This 2-month educational program is a focused course for students who want to specialize purely in learning about Futures & Options. Across 4 levels (Minor, Major, Bachelor, SIT), you'll build a foundation in futures/forward contract concepts, learn options structures and analysis, study quantitative risk concepts, and finish with mentor-led expiry-day market analysis sessions. Unlike broad market courses, every session here is built around the mechanics that actually move an option's premium — strike selection, implied volatility, time decay, and the Greeks — so you understand the concepts behind how options are structured, not just their definitions. You'll practice reading option chains, studying hedging concepts, and understanding risk on leveraged instruments where mistakes can be costly if the underlying concepts aren't understood. The program closes with dedicated expiry-day analysis sessions, historically the most volatile and analytically interesting window in Indian derivatives, giving you exposure to fast-moving market conditions under a mentor's guidance. This course suits learners who already understand basic price charts and want to go deep specifically into derivatives concepts and risk-management principles.
Who Is This Course For
Prerequisites
Topics You Will Learn
Including but not limited to:
What Tools Will You Learn
Course Content
Tap a module to see what it covers.

Futures & forward contracts foundation, contract specifications, lot sizes, and margin concepts required before studying any derivative instrument.
Options structures and analysis with hands-on option chain practice, covering premiums, strike selection, and basic Greek behavior.
Quantitative techniques & risk analytics for position-sizing concepts, hedging principles, and reading open interest shifts for directional bias study.
Advanced market analysis and live expiry-day sessions under mentor guidance, focused on time-decay concepts and volatility-driven analysis.
Total Duration: 2 Months across 4 Levels (Minor, Major, Bachelor, Master)
Course Mode
Career Opportunities After Completing
F&O Market Analysis
Develop the ability to study futures and options structures using a disciplined, concept-based approach.
Derivatives Research Analyst Skills
Analyze option chain data and volatility trends to build market research capability.
Risk Management Concepts
Apply quantitative risk-analysis techniques to understand leveraged market exposure.
Financial Market Research
Support research and analytical work using derivatives market data and case studies.
Quantitative Market Analysis Skills
Build a foundation for strategy backtesting and data-driven derivatives research.
Frequently Asked Questions
Educational & Risk Disclosure
This course is provided for educational and informational purposes only. It is designed to teach concepts related to equity markets, derivatives, technical analysis, market analysis and risk management. The course does not provide investment advice, portfolio management, trade execution services, trading signals, guaranteed returns, or recommendations to buy or sell any financial instrument. Financial markets involve risk, and past performance does not guarantee future results.
Ready to Start Learning F&O & Options?
₹20,000 • 10% OFF on One Shot Payment

