NOTE: Our training sessions are conducted on a 1-2-1 basis (batches are not formed) as our workshops are tailor-made to your specific problem statement.
Financial Derivatives are a game-changing instrument in the world of finance, as the best of the finance minds play around with the nitty-gritty of this instrument. As the world economies grow, trading in financial markets increases to grab more eyeballs. The complexities of the globalized market make it inevitable for one to learn the nuances of this field in order to ensure profitable outcomes.
Are you an avid investor willing to take part in the race of market wizards and seizing every opportunity available to maximize returns? Are you a risk-lover, ready to take on a roller-coaster ride in the market full of volatility and unpredictability? Are you a banking professional aspiring to becoming a ninja in the domain of derivatives trading and strategy making?
If yes, then here is your chance to explore the nail-biting world of Financial Derivatives from the lens of Industry Experts, as you get to learn about the various trading and hedging strategies to be implemented taking into consideration the inputs from the real market scenario for practical exposure.
Total Duration: 20-24 Hours ( 4 Hours Each Day)
Introduction- Derivative Instruments: Futures and Forwards, Put Option, Call Option, and Market Terminologies: Long Position, Short Position, Tick Size, List Price, Strike Price, etc.
Option Payoff Graphs- Long Call and Short Call Graphs, Long Put and Short Put Graphs.
Option Sensitivity Using option Greeks (delta, gamma, vega, theta): Graphical representations of different cases- in-the-money, at-the-money, out-the-money, and Strategies.