Derivatives 101: Greeks & Strategies

Instruments, Valuation, Greeks & Advanced Option Strategies.

Options are mathematical instruments. Without understanding their structure, you are speculating — not strategizing.

This course changes that. We move beyond surface-level strategies to help you understand exactly how price, time, and volatility drive your P&L.

Start Engineering Trades Stop guessing. Start calculating. ↓
The Mathematics of Options

Why Most Traders Fail With Options

Most retail traders approach options like lottery tickets. They fail because they:

  • Trade without understanding pricing mechanics
  • Ignore the massive impact of implied volatility
  • Misunderstand how time decay (Theta) accelerates
  • Use cookie-cutter strategies blindly
  • Confuse high leverage with actual edge
Derivatives Analysis

The Transformation

Moving from surface-level stacking to structured derivatives intelligence.

01

Understand exactly how Options are Valued

02

Interpret Greeks (Delta, Gamma, Theta, Vega) with Confidence

03

Structure Debit and Credit Strategies Intentionally

04

Optimize Positions rather than "Hope" they work

Derivatives Masterclass

Foundations & Instruments

  • What derivatives truly represent
  • Call vs Put mechanics and Moneyness
  • Contract structure and Expiration dynamics
  • Intrinsic vs Extrinsic value breakdown

The Mathematics of Valuation

  • Pricing logic behind premiums
  • Time decay (Theta) mechanics
  • Sensitivity to movement (Delta)
  • Convexity and acceleration (Gamma)

Volatility: The Hidden Engine

  • Implied vs Historical volatility
  • Volatility expansion & contraction
  • Volatility skew and trading logic
  • Impact on pricing and probability

Debit & Credit Strategies

  • Vertical spreads (Debit & Credit)
  • Premium harvesting & Income generation
  • Directional leverage strategies
  • Probability-based positioning

Advanced Optimization

  • Multi-leg strategies & Rolling
  • Strategy adjustment techniques
  • Managing Greeks dynamically
  • Optimizing risk-reward structures

Master Derivatives

Pay In Full

One-time payment for lifetime access to Derivatives 101.

$1000

One-time payment.

Gabriel Olumide Odediran

Gabriel Olumide Odediran

Multi-asset specialist with 18 years professional experience encompassing Fixed Income, Equity and Derivative markets. Gabriel provides a solid understanding of global markets backed by a robust analytical and quantitative background.

Portfolio Management Asset Liability Management Fundamental Analysis Technical Analysis Risk Management

Frequently Asked Questions

Are my results guaranteed?

Like anything in life, you will get out of this bootcamp what you put into it. While we do offer a 14-day money-back guarantee, the results you get are up to you. We can promise that if you commit to the process and put in the work, you will see results.

Can I share course info with a friend?

We encourage referring friends who are ready to commit to the physical and fiscal discipline required to become an elite trader. However, access is per-user to ensure personalized progress tracking.

Do you have any incentives if I refer a friend?

Yes! You will receive a $20 credit good for any of our online courses for each friend you send our way who registers for a program.

I loved this course and want more! What else is offered?

We’re so glad you loved the masterclass. This is Phase 04. If you haven't completed the earlier phases (Basics, Fixed Income, Equity), we recommend them. We also offer our flagship LMRSS Day Trading system for those ready for systematic intraday execution.