
Build Consistent 2-3% Monthly Returns (₹10L+ Capital Required)
This course is exclusively designed for traders committed to disciplined option writing/selling – not for beginners, buyers, or quick-rich seekers.
If you’re serious about generating reliable 2-3% monthly returns through premium selling using a risk-first approach backed by proven institutional frameworks– this is your blueprint.
You’re a Fit If:
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✅ Your strategy centres on option writing/selling (calls/puts, covered calls, spreads).
✅ You hold ₹10+ lakhs capital (non-negotiable for safe position sizing).
✅ You prioritize capital preservation and compounding over gambling.
✅ You seek sustainable income, not lottery-like wins.
What Sets This Course Apart:
🔐 Our Proprietary Risk Management System:
Access our exclusive, battle-tested risk framework – developed over years of live trading – including:
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- Volatility-adjusted trade entry/exit algorithms
- Dynamic hedging triggers
- Mathematically calibrated position sizing
- Max portfolio drawdown controls
📈 Strategy Focus:
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- Non-directional income systems (straddles, Strangles etc)
- Exploiting time decay & volatility skew
- Scaled trade execution (no "all-in" gambling)
- Realistic 2-3% monthly return roadmaps
Not Included:
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❌ Quick-rich schemes or overnight success myths
❌ Low-capital workarounds (₹10L+ is mandatory)
❌ Directional betting or option buying
This isn’t a gambling course – it’s a capital-preservation system for serious writers. Bring discipline + ₹10L+, we provide the institutional-grade risk engine