Tom Trades Options Trading Course

Tom Trades Options Trading Course delivers a complete education in options trading, covering foundational mechanics, the Greeks, strategy execution, technical analysis, risk management, and trading psychology to help you trade options with confidence and discipline.

Created by Tom
Last updated 05/2026
English
$49.00
$997.00
95% off
Buy now
30-Day Money-Back Guarantee
Full Lifetime Access

What you'll learn

Understand options trading fundamentals including calls, puts, spreads, and key terminology.
Analyze market conditions and identify high-probability trading setups.
Execute options strategies for income generation and portfolio protection.
Read and interpret options chains, Greeks, and volatility indicators.
Manage risk effectively through position sizing and stop-loss strategies.
Develop a personalized trading plan aligned with your goals and risk tolerance.
Use technical analysis tools to time entries and exits in options trades.
Apply real-world trading psychology principles to maintain discipline and consistency.

Explore related topics

This course includes:

31.68 hours on-demand video
41 videos
2 documents
21.6 GB downloadable resources
Access on mobile and PC
Instant access after payment

Course content

Expand all sections
  • 1 . Phase of Becoming Profitable
    19:05
  • 2. Trading Plan
    20:54
  • 3. Trading Journal
    57:45
  • 4. Data CollectionRefinement
    57:45
  • 1. My Full Trading Strategy
    34:58
  • 2. Direction
    1:02:43
  • 3. Area Of Interest
    1:00:02
  • 4. Entry Models (Type 1, 2, 3)
    1:00:02
  • 5. DXY Correlation
    53:25
  • 6. Entry Refinement
    46:13
  • 7. Entry Refinement
    50:30
  • 1. Overview
    47:31
  • 2. Strategies (Personal Account & Prop FIrms)
    1:12:58
  • 1. Overview
    1:12:58
  • 2. MetaSkills
    1:02:49
  • Prop Firm Guide
    52:53
  • Course Overview
    12:08
  • how to learn day trading
    05:00
  • 1. 26-03-24 webinar
    15:06
  • 1. Technical Analysis & Journal
    34:58
  • 2. 27th_march
    22:00
  • 2. RiskTrade Management & Psychology
    47:31
  • 3. 28th_march
    03:13
  • 3. How to Build a Profitable Strategy
    50:43
  • 4. 2024-04-02_21-43-46
    03:52
  • 4. Refinement of Entries and AOI's
    50:30
  • 5. 2024-04-03_21-43-49
    04:29
  • 5. Trade Recap & Refinement
    38:11
  • 6. 290524 - Metaskills
    1:02:49
  • 6. Risk Management, Direction & Routine
    1:12:58
  • 7. 050624_-_Using_DXY_examples
    46:13
  • 7. Pairs, Timing & Strategy
    1:13:16
  • 8. 12-06-24_-_4_Phases_of_Trading
    54:49
  • 8. Top Down Analysis & AOI's
    34:30
  • 9. 25-06-24 - Direction Guide
    1:02:53
  • 10. 050724 - Weekly Recap
    59:57
  • 01-05-24 - Psych & Entries
    43:43
  • 08-05-24 - Gold & DXY Correlation
    59:05
  • 15-05-24 - Trade Recaps
    44:08
  • 17-04-24 - AOI's in details
    29:05
  • 22-05-24 - Trading Plan Creation
    1:20:20
  • 24-04-24 - Entry Quality
    1:01:52
  • BEST-LOSER-WINS-1
    05:00
  • Trading_Mindmap
    01:00

Requirements

  • Basic understanding of stock market concepts and terminology is helpful but not required.
  • Access to a brokerage account with options trading approval or willingness to open one.
  • A computer or mobile device with internet access for trading platforms and course materials.
  • Commitment to learning and practicing options trading strategies in a disciplined manner.

Description

Options trading represents one of the most powerful yet misunderstood tools in the financial markets. This comprehensive training program takes you from foundational concepts through advanced execution strategies, equipping you with the knowledge and practical skills needed to trade options with confidence and precision.

The learning journey begins with establishing a solid foundation in options mechanics. You will explore what options contracts are, how they function within the marketplace, and the fundamental differences between calls and puts. This opening phase demystifies the terminology that often intimidates newcomers, breaking down strike prices, expiration dates, premiums, and intrinsic versus extrinsic value. You will learn how options derive their pricing from underlying assets and why these instruments offer unique advantages over traditional stock trading.

Once the groundwork is established, the course transitions into understanding the Greeks, the mathematical variables that measure how options prices change in response to market conditions. You will study Delta, which indicates how much an option’s price moves relative to the underlying stock. Gamma reveals the rate of change in Delta itself. Theta demonstrates how time decay erodes option value as expiration approaches. Vega measures sensitivity to volatility shifts. By mastering these concepts, you gain the ability to assess risk and reward with precision, enabling smarter trade selection and better position management.

With theoretical knowledge in place, the program shifts focus to practical strategy execution. You will learn how to construct and deploy core strategies such as covered calls, cash-secured puts, vertical spreads, iron condors, and straddles. Each strategy is presented within specific market contexts, teaching you when to use bullish, bearish, or neutral approaches. You will understand the profit and loss profiles of each setup, including maximum risk, maximum reward, and breakeven points. This section emphasizes matching strategies to market outlook and personal risk tolerance, ensuring you build a versatile toolkit adaptable to changing conditions.

Technical analysis forms a critical component of successful options trading. You will be trained to read charts, identify support and resistance levels, recognize trend patterns, and use indicators such as moving averages, RSI, and MACD to time entries and exits. The course demonstrates how combining technical signals with options mechanics creates high-probability setups. You will practice identifying optimal entry points based on price action, volume, and momentum, learning to avoid common pitfalls such as chasing trades or ignoring broader market sentiment.

Risk management receives dedicated attention throughout the curriculum. You will develop skills in position sizing, learning how much capital to allocate per trade based on account size and risk parameters. Stop-loss techniques specific to options are covered, including rolling positions, cutting losses early, and avoiding the trap of holding losing trades too long. The program emphasizes the importance of preserving capital and maintaining a favorable risk-reward ratio across all trades. You will also explore portfolio-level risk, understanding how to balance multiple positions and avoid overexposure to single sectors or strategies.

Trading psychology is woven into the entire learning process. You will confront emotional challenges such as fear, greed, overconfidence, and revenge trading. The course provides frameworks for maintaining discipline, sticking to your trading plan, and managing the mental strain that comes with market volatility. You will learn how to review and journal trades, extract lessons from both wins and losses, and continuously refine your approach based on performance data.

The program also addresses practical execution considerations. You will become familiar with options trading platforms, learning how to navigate interfaces, enter orders correctly, and monitor open positions. The course explains order types such as market, limit, stop, and conditional orders, ensuring you execute trades efficiently and avoid costly mistakes. You will gain insight into liquidity, bid-ask spreads, and slippage, understanding how these factors impact profitability.

Throughout the training, real-world examples and case studies illustrate how strategies perform under actual market conditions. You will analyze successful trades and dissect failures, building pattern recognition and situational awareness. The course encourages active participation, prompting you to apply concepts through practice trades, simulations, or paper trading before committing real capital.

By the conclusion of the program, you will possess a comprehensive understanding of options trading from multiple angles: mechanics, pricing, strategy, analysis, risk management, and psychology. You will be equipped to design and implement a personalized trading plan that aligns with your financial goals, time availability, and risk appetite. Whether your objective is generating supplemental income, hedging existing positions, or pursuing active trading as a primary focus, the skills and frameworks provided will serve as a foundation for ongoing growth and success in the options market.

Who this course is for:

Tom Trades Options Trading Course is designed for aspiring options traders seeking a structured path from beginner concepts to practical execution, investors looking to diversify their strategies or hedge portfolios, and active traders wanting to refine their approach with disciplined risk management and technical analysis skills.

Instructor

Tom
Options Trader and Educator
Tom

About Me

I started my journey in the financial markets with curiosity and a determination to understand how trading really works beyond the hype and noise. Over the years, I immersed myself in options trading, studying the mechanics, strategies, and psychology that separate consistent traders from those who struggle. My path was not without challenges. I experienced losses, learned hard lessons, and gradually developed the discipline and frameworks that now define my approach to the markets.

My background combines hands-on trading experience with a passion for teaching others how to navigate the complexities of options. I focus on demystifying concepts that often intimidate newcomers, breaking down Greeks, strategies, and risk management into clear, actionable steps. My philosophy centers on precision, discipline, and adaptability. I believe that successful trading is not about chasing quick wins but about building a sustainable process grounded in sound analysis and emotional control.

I value transparency and real-world application. My work reflects my commitment to sharing what I have learned through both successes and setbacks. I approach trading with a mindset of continuous improvement, always refining my methods and staying attuned to market changes. I prioritize risk management above all else, understanding that protecting capital is the foundation of long-term success.

Outside of trading, I am driven by a desire to help others achieve financial independence and confidence in their decision-making. I see trading as both a technical skill and a personal development journey, requiring patience, resilience, and a willingness to learn from every experience. My goal is to empower individuals with the tools and mindset needed to take control of their financial futures, avoiding common pitfalls and building strategies that align with their unique goals and risk tolerance.

Relative Courses