Options Calculator Academy – Advanced Course Curriculum
📈 Module 2: 6-Month Advanced Upgrade Program
Course Overview
Take your options trading to professional level with advanced data analysis, options calculator tools, and systematic strategy development. This 6-month intensive program transforms intermediate traders into consistently profitable experts.
Month 1: Deep Data Reading Mastery
Week 1-2: Volume Analysis Advanced
Session 1: Volume Dynamics Decoded
- Understanding real vs artificial volume
- Volume spikes: What they really mean
- Volume distribution across strikes
- Institutional vs retail volume patterns
- Volume precedes price movements
- Live volume tracking techniques
Session 2: Volume-LTP Correlation
- When volume confirms LTP movements
- Divergence signals (volume vs price)
- Low volume rallies – danger signs
- High volume consolidation patterns
- Volume climax identification
- Real-time correlation analysis
Session 3: Call vs Put Volume Analysis
- Reading aggressive call buying
- Identifying heavy put writing
- Call writing patterns (bearish signals)
- Put buying surges (fear indicators)
- Balance between call and put volumes
- Strike-wise volume distribution secrets
Session 4: Volume Profile Construction
- Building volume profiles manually
- High volume nodes (HVN) identification
- Low volume nodes (LVN) as breakout zones
- Point of control (POC) in options
- Volume shelf concepts
- Using volume for entry/exit precision
Week 3-4: Open Interest (OI) Deep Dive
Session 5: OI Fundamentals Advanced
- OI vs Volume – Critical differences
- OI buildup patterns
- OI unwinding signals
- Fresh OI addition identification
- OI rollover concepts
- Strike-wise OI concentration
Session 6: OI Change Analysis
- Positive OI change with price rise (bullish)
- Positive OI change with price fall (bearish)
- Negative OI change with price rise (short covering)
- Negative OI change with price fall (long unwinding)
- The 4-quadrant OI analysis matrix
- Real-time OI change tracking
Session 7: Max Pain Theory
- Understanding Max Pain concept
- How to calculate Max Pain strike
- Max Pain and market manipulation
- Using Max Pain for weekly expiry
- Max Pain limitations and reality
- Practical Max Pain application
Session 8: OI-Based Support & Resistance
- Highest OI strikes as barriers
- Put OI as support levels
- Call OI as resistance levels
- OI concentration zones
- OI-based range prediction
- Dynamic support/resistance tracking
Month 2: Premium LTP Calculator Mastery
Week 5-6: Introduction to Premium Tools
Session 9: Premium LTP Calculator Overview
- Tool interface walkthrough
- Data input and configuration
- Real-time LTP tracking features
- Alert system setup
- Dashboard customization
- Mobile vs desktop usage
Session 10: LTP Change Velocity Analysis
- Rate of premium change measurement
- Acceleration vs deceleration patterns
- Sudden spike detection algorithms
- Gradual build-up identification
- Tool-based automatic alerts
- Setting custom velocity thresholds
Session 11: Multi-Strike LTP Comparison
- Side-by-side strike analysis
- Premium ratio calculations
- Identifying mispriced options
- Arbitrage opportunity detection
- Best strike selection using tool
- Comparative advantage analysis
Session 12: LTP Historical Pattern Recognition
- Past LTP behavior at similar levels
- Historical volatility integration
- Pattern matching algorithms
- Success rate of historical patterns
- Backtesting using calculator
- Pattern library building
Week 7-8: Free-Access LOC Calculator Tools
Session 13: LOC (Level of Confidence) Calculator Introduction
- Understanding LOC concept
- Probability calculations explained
- Strike probability assessment
- Risk-reward ratio automation
- Expected value calculations
- Position sizing recommendations
Session 14: Probability-Based Trade Selection
- High probability strike identification
- Risk vs probability matrix
- Kelly Criterion application
- Optimal position sizing
- Win rate vs payoff analysis
- Statistical edge calculation
Session 15: LOC for Different Market Conditions
- Trending market LOC setup
- Range-bound market strategies
- High volatility adjustments
- Low volatility opportunities
- Event-based LOC calculation
- Adaptive probability modeling
Session 16: Integrating LTP + LOC
- Combined analysis framework
- LTP signals + LOC confirmation
- Dual-tool trade validation
- Risk management automation
- Portfolio optimization
- Complete workflow development
Month 3: Advanced Breakout & Reversal Logic
Week 9-10: Breakout Trading Systems
Session 17: Identifying True Breakouts
- False breakout vs real breakout
- Volume confirmation requirements
- OI support for breakouts
- LTP acceleration patterns
- Time-based breakout validation
- Breakout sustainability factors
Session 18: Range Breakout Strategy
- Identifying consolidation ranges
- Breakout trigger points
- Entry timing precision
- Target setting for breakouts
- Stop-loss placement
- Partial profit booking system
Session 19: Support/Resistance Breakout
- Key level identification
- Breakout above resistance
- Breakdown below support
- Retest concepts
- Failed breakout trades
- Recovery strategies
Session 20: Volatility Breakout Trading
- IV (Implied Volatility) surge detection
- News-based breakout preparation
- Pre-event positioning
- Post-event execution
- Volatility crush awareness
- Straddle/strangle breakouts
Week 11-12: Reversal Pattern Mastery
Session 21: Early Reversal Detection
- Momentum exhaustion signals
- Volume divergence patterns
- OI unwinding as reversal sign
- LTP deceleration indicators
- Sentiment shift identification
- Multi-timeframe confirmation
Session 22: V-Shape Reversal Trading
- Sharp reversal characteristics
- News-driven V-reversals
- Entry timing in reversals
- Risk management in fast moves
- Calculator tools for reversals
- Quick decision-making framework
Session 23: Gradual Reversal Patterns
- Trend weakening signals
- Distribution/accumulation phases
- Rolling over patterns
- Incremental position building
- Patience in reversal trading
- Confirmation layering
Session 24: Failed Breakout = Reversal
- Recognizing failed breakouts early
- Trap patterns in options
- Counter-trend opportunities
- Aggressive reversal entries
- Risk-reward in trap trades
- Stop-loss protection
Month 4: Hands-On Guided Execution
Week 13-14: Live Market Execution Practice
Session 25-28: Daily Live Trading Sessions
- Market opening analysis with tools
- Real-time trade identification
- Live order placement guidance
- Position management in real-time
- Exit execution timing
- Post-trade analysis
Structure:
- Pre-market preparation (15 mins)
- Live trading (60 mins)
- Trade review (15 mins)
- Q&A and learning points (10 mins)
Week 15-16: Simulated Portfolio Management
Session 29: Building Mock Portfolio
- Capital allocation across trades
- Diversification in options
- Correlation management
- Maximum risk per position
- Portfolio Greeks balancing
- Simulator setup
Session 30: Portfolio Monitoring
- Real-time P&L tracking
- Greek exposure management
- Adjustment triggers
- Rebalancing strategies
- Performance analytics
- Risk dashboard monitoring
Session 31: Trade Adjustment Techniques
- Rolling positions
- Averaging down vs cutting loss
- Partial exit strategies
- Converting positions
- Hedging losing trades
- Recovery strategies
Session 32: Weekly Portfolio Review
- Winners and losers analysis
- What worked, what didn’t
- Strategy refinement
- Emotional decision tracking
- Improvement action items
- Setting next week goals
Month 5: Strategy Development & Backtesting
Week 17-18: Creating Your Own Strategies
Session 33: Strategy Framework Design
- Defining entry rules clearly
- Exit criteria specification
- Risk parameters setting
- Market condition filters
- Time-based rules
- Documentation template
Session 34: Intraday Strategy Development
- Scalping using premium tools
- Momentum-based day trading
- Opening range breakout
- News trading framework
- High-frequency considerations
- Quick profit booking systems
Session 35: Swing Trading Strategy
- Multi-day position holding
- Weekly expiry strategies
- Overnight risk management
- Position sizing for swings
- Adjustment protocols
- Theta decay management
Session 36: Hedging Strategies
- Protective puts/calls
- Collar strategies
- Spread construction
- Portfolio hedging
- Cost-effective protection
- Dynamic hedging
Week 19-20: Backtesting & Optimization
Session 37: Manual Backtesting Process
- Historical data collection
- Trade simulation
- Entry/exit marking
- P&L calculation
- Win rate analysis
- Expectancy calculation
Session 38: Using Calculator for Backtesting
- Historical LTP data import
- Automated signal generation
- Performance metrics
- Drawdown analysis
- Sharpe ratio calculation
- Optimization parameters
Session 39: Strategy Validation
- Forward testing concepts
- Paper trading validation
- Sample size requirements
- Statistical significance
- Real vs backtest performance
- Going live checklist
Session 40: Continuous Improvement
- Strategy diary maintenance
- Monthly performance review
- Market regime adaptation
- Parameter tuning
- Adding filters
- Strategy evolution
Month 6: Advanced Concepts & Professional Trading
Week 21-22: Greeks Deep Dive
Session 41: Delta Trading Strategies
- Delta neutral positions
- Directional delta exposure
- Delta hedging techniques
- Dynamic delta management
- Portfolio delta calculation
- Delta-based adjustments
Session 42: Gamma Scalping
- Understanding gamma exposure
- Long gamma vs short gamma
- Gamma scalping technique
- Intraday gamma trading
- Expiry day gamma risks
- Gamma hedging
Session 43: Vega & Volatility Trading
- IV vs HV understanding
- Volatility smile/skew
- Trading IV crush
- Long vega strategies
- Short vega opportunities
- Event volatility trading
Session 44: Theta Harvesting
- Time decay exploitation
- Weekly option selling
- Premium collection strategies
- Theta decay curves
- Maximizing theta income
- Managing theta risk
Week 23-24: Professional Risk Management
Session 45: Position Sizing Algorithms
- Fixed fractional method
- Fixed ratio method
- Percent volatility method
- Kelly formula advanced
- Risk parity approach
- Capital allocation models
Session 46: Portfolio Heat Management
- Maximum portfolio risk
- Correlation adjustments
- Sector exposure limits
- Greeks exposure limits
- Stress testing
- Scenario analysis
Session 47: Black Swan Protection
- Tail risk hedging
- Put ladder strategies
- VIX-based protection
- Portfolio insurance
- Crisis management plan
- Recovery strategies
Session 48: Advanced Order Types
- Stop-loss orders (SL)
- Target orders (Limit)
- Bracket orders
- Trailing stop-loss
- OCO (One-Cancels-Other)
- Iceberg orders
Week 25: Professional Trading Systems
Session 49: Building Trading Systems
- Systematic vs discretionary
- Rule-based frameworks
- Automation considerations
- System monitoring
- Performance tracking
- System maintenance
Session 50: Multi-Strategy Approach
- Strategy diversification
- Combining strategies
- Capital rotation
- Market-regime switching
- Adaptive trading
- Portfolio of strategies
Session 51: Tax & Compliance
- Intraday vs delivery taxation
- STT, brokerage, taxes
- Record keeping
- ITR filing for traders
- Legal compliance
- Professional trading setup
Session 52: Career in Options Trading
- Full-time vs part-time
- Capital requirements
- Income expectations
- Continuous learning
- Professional resources
- Trading as business
Week 26: Graduation & Beyond
Session 53: Final Project Presentation
- Present your trading strategy
- Backtest results showcase
- Live trading performance
- Peer feedback
- Instructor evaluation
- Refinement suggestions
Session 54: Comprehensive Review
- 6-month journey recap
- Key learnings summary
- Tool mastery assessment
- Strategy development review
- Risk management audit
- Next steps planning
Session 55: Advanced Resources
- Professional trading platforms
- Data services
- Research resources
- Community networks
- Mentorship programs
- Continuing education
Session 56: Final Course Ceremony
- Certificate distribution
- Success stories sharing
- Alumni network introduction
- Lifetime support details
- Advanced masterclass preview
- Celebration & networking
🛠️ Premium Tools Access
LTP Calculator Premium(Paid) Features
- Real-time Data Feed: Live option chain streaming
- Advanced Alerts: Custom LTP velocity alerts
- Pattern Scanner: Automated pattern detection
- Multi-Strike Dashboard: Compare up to 20 strikes
- Historical Database: 5 years of LTP data
- Mobile App: iOS and Android access
- API Access: For custom integrations
- Priority Support: 24/7 technical assistance
LOC Calculator Free Access
- Probability Engine: Monte Carlo simulations
- Risk Calculator: Automated risk-reward
- Position Sizer: Optimal lot calculation
- Win Rate Tracker: Historical success rates
- Expected Value: EV calculation per trade
- Portfolio Analyzer: Combined position analysis
- Strategy Tester: Quick backtest module
- Educational Mode: Learning scenarios
📊 Course Deliverables
Weekly Materials
- 📹 Recorded sessions (lifetime access)
- 📄 Strategy templates and worksheets
- 📈 Tool tutorial videos
- 📋 Checklists and frameworks
- 📚 Reading materials
Monthly Deliverables
- Month 1: Volume & OI Mastery Workbook
- Month 2: Calculator Tools Complete Guide
- Month 3: Breakout & Reversal Playbook
- Month 4: Live Trading Journal Template
- Month 5: Strategy Development Kit
- Month 6: Professional Trader’s Handbook
Final Course Completion Kit
- ✅ Advanced Trader Certification
- ✅ Strategy Library (10+ tested strategies)
- ✅ Tool Access (lifetime premium)
- ✅ Alumni Community Access
- ✅ Monthly Masterclass Invitations
- ✅ One-on-one Mentorship Session
- ✅ Job/Prop Trading Referrals
💼 Learning Format
Live Sessions
- Timing: Monday to Thursaday, 7:50 PM – 9:00 PM IST(in Winter) and 8.30 PM to 9.40PM(in Summer)
- Duration: 70 minutes per session
- Format: Theory (30 mins) + Live Demo (20 mins) + Q&A (20 mins)
Additional Support
- Daily WhatsApp Group: Quick doubts clearing
- Youtube Live Hours: live Q&A
- Private Dashboard: Track your progress
- Community Forum: Peer discussions
🎯 Advanced Learning Outcomes
Upon completion, you will be able to:
✅ Perform institutional-level data analysis ✅ Use professional calculator tools proficiently ✅ Identify high-probability breakouts and reversals ✅ Execute trades with precision and confidence ✅ Develop and backtest your own strategies ✅ Manage portfolio risk like professionals ✅ Understand and utilize Options Greeks ✅ Build systematic trading approaches ✅ Generate consistent trading income ✅ Make data-driven trading decisions ✅ Adapt strategies to market conditions ✅ Scale trading capital systematically
📋 Prerequisites
Required
- ✓ Completion of Module 1 [Subscribe 3-Month LTP Trading Secret Core Program]
- ✓ Minimum 6 months options trading experience
- ✓ Basic understanding of Option Chain
- ✓ Active trading account
- ✓ Minimum capital: ₹10,000 for Option Buying and 2.5 Lacs for Option Selling in learning duration.
Recommended
- ✓ Basic Excel/Google Sheets knowledge
- ✓ Familiarity with trading platforms
- ✓ Commitment: 2-3 hours daily
- ✓ Laptop/Desktop (mandatory for tools)
🏆 Certification Path
Certification Requirements
- 85% attendance in live sessions
- Complete all assignments
- Pass monthly assessments
- Submit final strategy project
- Demonstrate live trading proficiency
Community Benefits
- Private Telegram channel with instructors
- Alumni networking events (quarterly)
- Guest expert sessions (monthly)
- Strategy sharing platform
- Job board access for trading positions
📞 Support System
During Course
- Live chat during sessions
- WhatsApp response within 2 hours
- Email support within 24 hours
- Weekly group doubt-clearing
- Monthly 1-on-1 check-ins
Post-Course
- Alumni support group (lifetime)
- Tool technical support (lifetime)
- Strategy consultation (first year free)
- Refresher webinars (monthly)
- Advanced course discounts
🚀 Career Opportunities
After Completion
- Proprietary Trading Firms: Referrals to top firms
- Fund Management: Assist portfolio managers
- Independent Trading: Full-time trading career
- Teach & Mentor: Become academy instructor
- Consulting: Strategy development for others
Income depends on capital, skill, and market conditions
🎓 Module 1 to Module 2 Bridge
What’s New in Module 2?
| Aspect | Module 1 | Module 2 |
|---|---|---|
| Focus | Basic LTP understanding | Deep data analysis |
| Tools | Manual analysis | Premium calculators |
| Strategies | Simple directional | Complex multi-leg |
| Execution | Paper trading | Live guided trading |
| Risk | Basic concepts | Advanced portfolio management |
| Duration | 3 months | 6 months |
📅 Next Batch Details
- Start Date: No Boundation
- Batch Size: No-Limits
- Language: Hindi & English
- Mode: Live Online (Zoom/Google Meet)
Transform from intermediate to professional trader in 6 months!
“Advanced tools don’t make you a better trader; understanding how to use them does. Master the art of data reading, and the market becomes transparent.”
❓ FAQs
Q: Can I join Module 2 without Module 1? A: Yes, if you have 6+ months trading experience and understand Option Chain basics.
Q: Are the calculator tools really free after course? A:No, lifetime access to Free-Access LOC Calculator.
Q: What if I miss sessions? A: All sessions recorded and available within 2 hours of completion or next day.
Q: Is placement assistance provided? A: Yes, top performers get referrals to proprietary trading firms.
Q: What’s the refund policy? No-Refund policy
Enroll Now & Start Your Journey to Professional Options Trading!

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