What Is the Online Option Mastery Course at TSE?
Online Options Mastery Course is TSE’s exclusive F&O training course, conducted live through Hemant Sharma, a SEBI Registered Research Analyst, having more than 10 years of experience in live trading in NIFTY, BANKNIFTY & FINNIFTY options on NSE platform.
It is an advanced trading course for traders who wish to learn F&O strategies beyond just random buying/selling of options. This course is for anyone across the length and breadth of India who has the desire to learn from the best without stepping out of home.
At the end of this course, you shall be ready with your own Trading Plan, Trade Journal & Back Tested Strategy with Risk Rules which makes you different from others.
Who Should Join This Mastery Course ?
Existing F&O Traders
You are already trading options but losing money — or winning inconsistently. This course identifies exactly what is missing: Greeks, sizing, adjustment techniques.
Stock Investors
You hold equity and want to use covered calls or protective puts to generate income and reduce downside. We teach exactly that from Day 17 onwards.
Complete Beginners
No experience needed. The first seven sessions build every concept from zero — derivatives, calls, puts, option chains — before any strategy is introduced.
Working Professionals
Live online batches available in evening and weekend slots. Attend from home, office, or anywhere in India — no commute required.
Finance Students (CA/CFA/MBA)
Adds hands-on NSE market experience that textbooks cannot provide. NISM Series VIII exam preparation is fully included.
Business Owners & HNIs
Use options for portfolio hedging, income generation, and capital protection — with proper position sizing from Day 7 onwards.
Students Outside Metro Cities
TSE's online program brings the same quality education to Tier-2 and Tier-3 cities across India. No need to relocate or travel.
Ready to Start?
Join serious options traders across India.
Full 30-Day Curriculum?
5 structured modules. Each session is delivered offline. Every class builds on the previous one.
From Day 7 onward every session includes a live market component on NIFTY or BANKNIFTY.
Module 1 - Basic of Stock Market & Decoding Dalal Street
(Day 1 & 2)
The Indian Ecosystem: Introduction to Dalal Street
Demystifying how money flows in India’s booming economy and why ordinary citizens are shifting from traditional FDs to Equities.
The Market Landscape: From Local Mandis to Digital Exchanges
Understanding how financial markets operate just like a localized Sabzi Mandi, but execution happens at a trillion-dollar digital scale.
Trading Gold, Oil, USD-INR, and Big Institutional Funds
A clear breakdown of the Multi Commodity Exchange (MCX), Currency trading (USD vs. INR), and where the RBI and big banks park their overnight cash.
The IPO Game: Buying Into Companies Before They Hit the Exchange
How to evaluate massive Indian IPOs (like Tata Technologies, LIC, or upcoming tech startups) and the true mechanics behind the allotment lottery.
Free Money Checklist: Dividends, Stock Splits, and Bonus Shares
How legendary Indian investors generate massive passive income by tracking corporate announcements from giants like Reliance, TCS, or Infosys.
The NSE & BSE Playground: How Daily Stock Trading Works
A practical, zero-jargon look into the secondary market where millions of Indian retail traders buy and sell shares every single second.
The Market Masters: Retail Traders vs. DIIs & Big-Money FIIs
Decoding who really moves the Nifty 50—mapping out Retailers, Domestic Mutual Funds (DIIs), and the powerful Foreign Institutional Investors (FIIs) who drive institutional traps.
The Financial Police: How SEBI, NSE, BSE, NSDL & CDSL Protect You
A simple breakdown of the regulatory infrastructure ensuring your money and shares are 100% safe from broker defaults inside your Demat account.
The Market Thermometers: Decoding Nifty 50, Sensex, and Global Cues
How to read India’s benchmark indices and understand how a midnight move in the US Dow Jones or Nasdaq affects our Indian market opening at 9:15 AM.
The Market Hierarchy: Small-Caps, Mid-Caps, and Nifty Giants
Grouping Indian stocks by market capitalization (e.g., penny stocks vs. mid-cap multi-baggers vs. ultra-safe large-caps) so students know exactly where the real risk lies.
Nifty BeES & Passive Investing: Building Wealth with Zero Effort
An introduction to Exchange Traded Funds (ETFs) like Nifty BeES or Gold ETFs, showing beginners how to buy the top 50 companies of India with pocket change.
Module 2 - Basic Overview of Fundamental Analysis & Stock Screening
(Day 3)
Fundamental Analysis (FA) Demystified: Overview the Pulse of Indian Businesses
Moving past boring accounting textbooks to understand how to read a company’s financial health, balance sheets, and real-world earnings reports (like RIL, HDFC, or Tata) just like a venture capitalist.
The Growth Hackers: Finding India’s Next Multi-Bagger Stocks
How to spot high-growth Indian companies before the rest of Dalal Street catches on, focusing on sectors poised for massive expansion (like EV infrastructure, renewable energy, and defense).
AI-Powered Automating Your Stock Screening
Introduction to using modern AI tools and simple code to instantly scan thousands of listed Indian companies, filtering out debt-heavy traps and finding undervalued hidden gems in seconds.
Module 3 - Technical Analysis Foundations & Market Structure
(Day 4)
- Introduction to Technical Analysis: Reading the language of live charts and understanding how price discounts all public information in real-time.
- The Trader’s Canvas (Line, Bars, & Candlesticks): Why professional traders ditch standard line charts and rely exclusively on Japanese candlesticks to read market emotion.
- The DNA of a Candle: Demystifying candlestick formation—how Open, High, Low, and Close (OHLC) expose the immediate battle between buyers and sellers.
- Dow Theory & The Market Compass: Mastering structural market shifts using Higher Highs (HH), Higher Lows (HL), Lower Highs (LH), and Lower Lows (LL) to avoid buying the top.
- The 3 Macro Trends: Mapping out Primary, Secondary, and Minor trends to ensure you never trade against the dominant market momentum.
(Day 5-6) : Advanced Candlestick Behavior & Traps
- Psychology Behind the Wicks: Moving past standard pattern names to decode the underlying human behavior and order flow inside every candle.
- Single & Two-Candle Reversals: Mastering high-impact triggers like the Hammer, Shooting Star, and Bullish/Bearish Engulfing patterns on live charts.
- Three & Four-Candle Exhaustion Patterns: Identifying advanced multi-candle sequences that signal massive institutional trend exhaustion.
- The Complete Price Action Setup: Combining structural levels with candlestick confirmation to build your first end-to-end mechanical trading strategy.
(Day 7-8) : Pure Price Action & Support 7 Resistance Marking
- The Principles of Naked Price Action: Moving away from lagging indicators to trade the purest form of market behavior.
- Drawing Institutional Floors & Ceilings: The exact rules for plotting high-probability Support & Resistance levels across multiple timeframes.
- Intraday vs. Swing Structure: Customizing your structural lines for fast-paced intraday execution versus patient, multi-day swing trading.
- The Law of Supply & Demand: Mapping out order blocks and zones where institutional buying and selling power enters the market.
- Grading Key Levels: Advanced rules to assess the strength of Support & Resistance so you know exactly which levels will hold and which will shatter.
(Day 9-10) : Chart Patterns & Framework Execution
- The Anatomy of Chart Patterns: Classifying Continuation, Neutral, and Reversal patterns to predict the next major market expansion.
- The Classical Reversal Playbook: Mastering Head & Shoulders, Double Tops/Bottoms, and how to spot fake breakouts at key structural turning points.
- The Continuation Toolkit: Trading flags, pennants, and triangles to catch highly explosive mid-trend entries.
- Intraday vs. Swing Pattern Playbook: Adapting identical chart patterns for rapid intraday momentum setups versus high-RR swing positions.
(Day 11) : Market Microstructure (Gaps, Volumes, & Circuits)
- Decoding the Morning Gap: Understanding the 4 types of market gaps (Common, Breakaway, Runaway, Exhaustion) and how to trade the 9:15 AM opening bells.
- The Circuit Filter Game: How upper and lower circuit limits work in Indian equities and how to avoid getting trapped in illiquid stock freezes.
- Volume Analysis (The Lie Detector): Using volume spikes to validate real institutional accumulation and expose low-volume retail traps.
- The Gap-Trap Swing Setup: A specialized blueprint combining volume confirmation with gap theory to capture sharp swing reversals.
(Day 12-14) : Indicator Confluences & Strategy Rules
- Indicator-Based Trading Frameworks: How to correctly use lagging indicators as supportive filters rather than primary buy/sell signals.
- Moving Averages (The Trend Riders): Utilizing EMAs and SMAs to identify dynamic support/resistance and master pullback execution.
- Relative Strength Index (RSI) Deep Dive: Moving beyond basic 70/30 overbought/oversold myths to track true momentum shifts and hidden divergences.
- The Confluence Checklist (Intraday & Swing): Merging Price Action with RSI and Moving Averages to build a robust, high-probability execution rulebook.
(Day 15) : Algorithmic Filters & Fibonacci Geometry
- The Algorithmic Trader Edge: Introduction to basic coding frameworks to automate your strategy rules and remove human emotion from execution.
- Fibonacci Retracements & Extensions: Utilizing mathematical golden ratios to pinpoint precise pullbacks and project exact algorithmic profit targets.
(Day 16) : Risk Architecture & Elite Market Psychology
- The Professional Risk Engine: Developing strict position sizing, tracking R-multiples, and managing maximum daily drawdowns to guarantee survival.
- The Trader’s Brain: Overcoming greed, FOMO, and revenge trading by aligning your personal psychology with your execution rules.
- Live Mid-Course Audit: Interactive doubt-clearing session and live chart-reading revision to correct mistakes before entering the derivatives market.
Module 4 - Introduction to the Derivatives Ecosystem
(Day 17-18)
- Demystifying the Derivatives Market: Understanding why the derivatives market exists and how professionals use leverage to multiply returns.
- Futures vs. Forwards: A clear breakdown of standardized, exchange-traded futures versus custom over-the-counter forward agreements.
- The Futures Rulebook: Mastering essential terminologies including contract cycles, lot sizes, mark-to-market (MTM) margins, and roll-over data.
- The Multi-Asset Derivative Playground: Introduction to hedging and trading across the Multi Commodity Exchange (MCX) and high-liquidity currency pairs (USD-INR).
(Day 19-22) : Options Core Mechanics & Chain Analysis
- Introduction to Options Contracts: Demystifying Calls (CE) and Puts (PE) from both the perspective of a buyer and a seller.
- The Moneyness Matrix: Mastering In-The-Money (ITM), At-The-Money (ATM), and Out-Of-The-Money (OTM) strikes for optimal selection.
- Option Pricing Math: Breaking down the components of premium value—calculating Intrinsic Value versus decaying Time Value.
- The Options Greeks (The Risk Drivers): A practical introduction to Delta, Gamma, Theta, and Vega so you know exactly how time and volatility impact your premium.
- Reading the Option Chain: Analyzing the live NSE option chain to locate hidden institutional support and resistance barriers.
- Open Interest (OI) Analysis: Tracking shifts in Open Interest and Volume to decode where big-money option writers are placing their heaviest bets.
(Day 23-24) : Advanced Intraday Execution & Cheat Setups
- The Institutional Intraday Cheat Sheet: Step-by-step blueprints for elite, high-probability intraday setups designed specifically for Nifty 50 and high-volume index execution.
- Trap Recognition Mechanics: Exposing common retail traps at key liquidity pools and executing sharp counter-trend reversals alongside institutional order flow.
(Day 25) : Portfolio Hedging & Seasonal Strategies
- The Structural Shield: How to build robust option hedging strategies (Spreads, Iron Condors, Straddles) to protect your trading capital during volatile events.
- Seasonal Market Anomalies: Utilizing historical market tendencies and seasonal data trends to build high-probability multi-week positions.
Module 5 - Crypto Currency Trading Setups
(Day 26)
- Introduction to Delta Exchange India: Navigating a SEBI-compliant crypto derivatives platform to trade 24/7 without currency conversion bottlenecks.
- Intraday Crypto Momentum Setups: Transferring your core price action and option mechanics to capture massive intraday trends in Bitcoin and high-liquidity altcoins.
(Day 27-30) : Mentorship Graduation & Business Launch
- The Mastermind Doubt Audit: A final, comprehensive open-floor Q&A to review setups, iron out execution flaws, and lock down your trading plan.
- Professional Certification & Course Review: Official distribution of completion certificates alongside strategic feedback collection to continuously upgrade the learning community.
Course Overview At a Glance
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Course Snapshot
Frequently Asked Questions
Absolutely. We don't rush into complex trades. The course starts from the absolute basics in Module 1, explaining exactly what derivatives are, why options exist, and the mechanical differences between calls and puts. Whether you are a complete beginner or struggling with consistency, we build your foundation before moving to advanced concepts.
We teach both, but with complete transparency. Early in the course, we cover the honest reality of option buying versus option selling so you have realistic expectations. You will learn directional buying (long calls/puts) as well as directional selling and income-generating strategies like covered calls and cash-secured puts.
Survival in the market comes first. We have a dedicated "survival module" on Day 7 that covers risk per trade, position sizing, and the difference between defined-risk and undefined-risk trades. We also teach you how to handle margin requirements (SPAN + exposure) and protect your capital from gap or black-swan risks.
Yes, and we don't save it for the very end of the course! Adjustment techniques are taught right alongside short-premium strategies like straddles and strangles when you actually need them. You will learn exactly how to defend a losing position, including how to roll and manage an Iron Condor.
Definitely. You don't need to buy a separate technical analysis course. Modules 4 and 5 extensively cover pure price action, Dow Theory, support/resistance, and candlestick chart patterns. More importantly, we teach "critical framing"—ensuring you only trade these candlestick patterns at key levels with volume confirmation, rather than in a vacuum.
The Greeks are so important that we split them across two full days so no single class feels overloaded. You will build a deep intuition for how Delta affects direction, how Gamma changes your exposure, and how Theta (time decay) acts as the buyer's enemy but the seller's income.
Yes, Module 9 provides specific, scenario-based playbooks specifically for intraday traders. We will teach you exactly how to read and execute trades during gap-up, gap-down, and flat or range-bound market openings. Every single setup is rigorously backtested on historical sessions during the class.
For those who can't watch the screen all day, Day 21 is entirely focused on a Delta-Neutral Monthly Strategy. We teach you how to build a monthly position step-by-step, re-hedge as the underlying asset moves, and capture time decay (Theta) safely while managing your margin.
Theory is just the beginning. Days 25 to 29 of the curriculum are exclusively dedicated to Practical and Live Trading. You will apply everything you've learned—from reading the NSE option chain to executing vertical spreads—in real-time, live market conditions.
On Capstone and Graduation day (Day 30), every student presents a backtested strategy complete with written risk rules and a reviewed trade journal. You won't leave empty-handed; you will walk away with your own personalized trading plan, fully reviewed and officially signed off by us.
Options are powerful derivatives that give you the right to buy or sell an asset without the obligation. However, most retail traders in India buy NIFTY or BANKNIFTY options blindly without understanding pricing, the Greeks, or expiry mechanics, leading to consistent losses. A structured course teaches you the complete professional framework—from understanding how premium decays to building defined-risk strategies used by experts on the NSE.
Yes, absolutely! Our Online Option Mastery Course is designed for students across India. Whether you are based in Mumbai, Bengaluru, Hyderabad, Pune, or any other city, you can attend live interactive sessions from your home or office. The online batch follows the exact same curriculum, live market sessions, and mentor guidance as our Delhi classroom.
No prior experience is necessary. The course is built from the ground up for absolute beginners. We start with the core basics—explaining what derivatives are, how calls and puts work, and how to read the NSE option chain. By Day 4, you will have a solid, working knowledge of market mechanics.
We cover over 11 complete, professional strategies with detailed payoff analysis, including:
● Directional Trades: Long/Short Calls & Puts
● Income Strategies: Covered Call, Cash-Secured Put, Protective Put
● Spreads: Bull/Bear Call & Put Spreads
● Volatility Trades: Straddles, Strangles, and Iron Condors
● Advanced: Delta-neutral monthly income positions
● Crucially, we don't just teach the setups; we teach live adjustment techniques for defending short-premium strategies when the market moves against you.
YouTube videos provide fragmented knowledge without market context. TSE’s program is a 30-session, structured live curriculum where every class connects to the next. You get live NIFTY/BANKNIFTY market analysis, personal reviews of your actual trades, and direct access to a mentor who trades the same strategies he teaches. This level of accountability, strategy backtesting, and live feedback is impossible to get from pre-recorded videos.
Options trading is completely legal for individuals in India through SEBI-registered brokers, and no certification is required for personal trading. However, if you wish to build a career as a Research Analyst, Stock Broker, or Investment Advisor, NISM certification is mandatory. Our course curriculum fully prepares you to clear the NISM Series VIII (Equity Derivatives) examination.
You won't just learn theory; you will learn to use the tools professionals rely on. We train you on the NSE Option Chain for open interest and volume analysis, Sensibull or Opstra for building and visualizing strategy payoffs, and TradingView for advanced charting. You will also use TSE’s proprietary trade plan and journal templates to backtest your strategies before going live.
To ensure personalized attention, our online batches are capped at a maximum of 15 students. This guarantees direct mentor interaction and individual trade journal feedback—not a crowded mass-lecture experience. The program spans 30 live sessions (approx. 6 to 8 weeks) with both weekday and weekend options.
