Course Overview

Course Objective:
Objective of the Course is to safeguard the capital. You will learn to safely earn profits from swing trading in shares. Once you earn some profits, the same profit will be used as risk to take short term trades in shares, commodity as well as futures and options. You will learn to trade with reward to risk ratio of 7 and even 10. Meaning for every 500 Rs of risk you will target Rs 5000 as reward.
High reward to risk ensures capital protection. So even if you are wrong 9 times out of 10 you will still not lose your capital as only 1 right trade will recover all your losses and you will be able to take another 10 trades. With practice you will be able to increase the number of right trades. Thereby ensuring safety of your capital.
Trading & Investment in Shares covers 3 main analysis – Technical + Fundamental + Option Chain Analysis along with Risk & Money Management. Trading in shares means targeting 10 to 15% movement which is also termed as Medium swing. Whereas investment in shares means targeting 25 to 30% movement which is also termed as large swing.
Course Trading and Investment in Shares Duration:
Classroom Training – 2 Weeks
Practical Sessions – 2 Weeks
Training is provided in 3 parts:
- Recorded Video Lecture Series & Notes – Candidate can start learning through the video content provided
- Classroom Session by Faculty – Classroom sessions are conducted by Expert Faculty providing practical case studies
- Practical Training – After classroom session candidates start their practical training where hands on support is provided.
Post completion of Trading and Investment in Shares you will be able to:
- Do Small Swing Trading in Shares of 3 % to 10%
- Do Medium Swing Trading in Shares of 10 to 15%
- Do Large Swing Trading in Shares of 20 to 30%
- Trade using Indicators
- Build Investment Portfolio in Exchange Traded Funds, Mutual Funds and Stocks
- Design Systematic Withdrawal Plan
Target audiences
- Students
- Working Professionals
- Business Owners
- Home Makers
- Retired Professionals
Curriculum
- 10 Sections
- 68 Lessons
- 4 Weeks
- Day 111
- 1.1Faculty Introduction
- 1.2Long and Short Trades
- 1.3Positional and Intraday
- 1.4Segmentation of Market
- 1.5Trading Shares in Cash and Margin
- 1.6Understanding Future Trading
- 1.7Understanding Trading in Options
- 1.8Trading in Commodity Futures
- 1.9Aspects of Approach to Trading
- 1.10Trading vs Investment
- 1.11Approach and Program Structure
- Day 211
- 2.0Japanese Candle Sticks
- 2.1Support and Resistance Reversal and Level
- 2.2Continuous Support and Resistance
- 2.3Segment Line
- 2.4Breakout and Breakdown
- 2.5Retest
- 2.6Bullish Pattern
- 2.7Bearish Pattern
- 2.8Neutral Pattern
- 2.9Support and Resistance Practice Apollo Tyres
- 2.10Support and Resistance Practice Silver Micro Future
- Day 39
- Day 45
- Day 56
- Day 66
- Day 79
- 7.0Basic Concept of Futures
- 7.1Basic Concept of Options Part 1
- 7.2Basic Concepts of Options Part 2
- 7.3Option Set Up
- 7.4Physical Delivery Rules in Stock Options
- 7.5Factors Affecting Premium
- 7.6Understanding Option Chain
- 7.7Option Seller Vs Option Buyer
- 7.8Recording of Class – Option Trading Abs Change and ROC
- Day 83
- Day 95
- Practice3


