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Options Trading: Strategy, Execution & Portfolio Protection · LearnSpace
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Options Trading: Strategy, Execution & Portfolio Protection

Курс от John Wiley & Sons
Средний≈ 4.8 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

This course teaches practical skills in designing and executing options trading strategies, emphasizing the importance of protecting investments and managing risk. Participants learn to build comprehensive trading plans that integrate strategy, execution, and portfolio safeguards. Learners improve their capabilities by practicing trade planning, understanding different option styles, and applying risk management techniques. Exercises and scenario-based learning enable participants to make informed trading decisions confidently. What sets this course apart is its focus on translating theory into actionable strategies through real-world applications. Structured quizzes and examples reinforce practical execution while highlighting cost management and order nuances. This course benefits aspiring traders and finance professionals seeking to strengthen strategy design and portfolio protection skills. No prior trading experience is required, though familiarity with basic investing concepts is helpful. This course is part two of a three-course Specialization designed to provide a comprehensive learning pathway in this subject area. While it delivers standalone value and practical skills, learners seeking a more integrated and in-depth progression may benefit from completing the full Specialization. This Specialization is based on the book Options Trading For Dummies, by Joe Duarte. From Options Trading For Dummies Copyright © 2026 by John Wiley & Sons, Inc. All rights reserved, including rights for text and data mining and training of artificial technologies or similar technologies. Used by arrangement with John Wiley & Sons, Inc.

Навыки, которые вы освоите

Risk ControlRisk ManagementPortfolio ManagementInvestmentsRisk AnalysisFinancial ManagementFinancial TradingOrder ManagementAsset ProtectionDecision MakingOrder EntryDerivativesCost Benefit AnalysisMarket DynamicsFinancial MarketRisk MitigationPortfolio RiskFinanceStrategic Decision-MakingBusiness Planning

Программа курса

5 модулей · 43 учебных материалов

01Practicing Before You Swing9 материалов

Sharpening Your Trading Edge: Practice, Backtesting, and Risk Control

OverviewВидеоIntroductionЧтениеChanging volatility and option pricesЧтениеMaking Sense of Paper TradingЧтение

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Wiley Skills Network

Преподаватель курса

Options Trading: Strategy, Execution & Portfolio Protection
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Обучение на Coursera

≈ 4.8 ч

5 модулей

Язык: Английский

Часть программы вашего университета
Performing a backtestЧтение
Adding risk management to a backtestЧтение
Setting the right paceЧтение
Achieving mastery through longevityЧтение
Mastering Trading Strategies and Risk ControlЗадание
02Designing a Killer Trading Plan9 материалов

Mastering Options Trading: From Planning to Execution

OverviewВидеоIntroductionЧтениеGetting Granular: Setting Up Accounts and Getting PaidЧтениеManaging Your CostsЧтениеOptimizing Order ExecutionЧтениеEntering a new positionЧтениеExecuting a quality tradeЧтениеExiting an existing positionЧтениеMastering Trading Plan FundamentalsЗадание
03Getting to Know Different Option Styles9 материалов

Mastering Option Styles: Strategies, Risks, and Expiration Insights

OverviewВидеоIntroductionЧтениеCapitalizing on an index with optionsЧтениеWatching Out for Style RiskЧтениеConsidering the exceptionsЧтениеTo exercise or not, that is the questionЧтениеSatisfying Option ObligationsЧтениеExpiring optionsЧтениеExploring Option Styles and Index VolatilityЗадание
04Protecting Your Portfolio with Options9 материалов

Mastering Hedging Strategies with Options

OverviewВидеоIntroductionЧтениеCombining puts with long stockЧтениеWeighing protection cost versus timeЧтениеLimiting Short Stock Risk with CallsЧтениеHedging Your Bets with OptionsЧтениеProtecting a portfolio … completelyЧтениеAvoiding Adjusted Option RiskЧтениеOptions and Portfolio Protection FundamentalsЗадание
05Increasing Profit Potential and Decreasing Risk7 материалов

Mastering Options Strategies for Risk Management and Profit Growth

OverviewВидеоIntroductionЧтениеDetermining your total dollars at riskЧтениеRelying on your analysis of trade setupsЧтениеCombining Options to Reduce RiskЧтениеSPREAD TRADE FLOOR APPEALЧтениеMastering Options Strategies for Profit and Risk ControlЗадание