How to Make Money — Golden Rules of Options Trading: 180 Golden Rules for Options Strategies, Greeks, Premium Management & Risk Control
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Options are the most powerful financial instruments in existence. They are also the most dangerous for the unprepared. These 180 rules make the difference.The Golden Rules of Options Trading is the most structured, rule-based guide to options markets ever written for both beginner and advanced traders. Developed from 25+ years of derivatives market research, live trading experience, and deep analysis of how retail traders win and lose in options markets, this book provides 180 actionable golden rules covering every aspect of professional options trading.Options trading attracts more retail participants than any other financial instrument — yet destroys more capital than almost any other market activity. The reason is almost always the same: traders enter options markets without understanding the foundational mechanics of options pricing, Greeks, time decay, volatility, and the mathematical framework that determines whether a position makes or loses money. The 180 Golden Rules of Options Trading eliminate this knowledge gap and replace it with a systematic, professional-grade options trading framework.INSIDE THIS BOOK, YOU WILL FIND: 180 Golden Rules covering every dimension of professional options trading from first principles to advanced strategy Complete Greeks framework — Delta, Gamma, Theta, Vega, and Rho explained with actionable trading rules Premium selling strategies — covered calls, cash-secured puts, iron condors, and credit spreads with risk management rules Premium buying strategies — directional calls, puts, debit spreads, and defined-risk speculation with timing rules Implied volatility rules — how to read IV rank, IV percentile, and volatility events to gain structural edge Rules for NIFTY, Bank NIFTY, and individual stock options — India-specific market structure and behaviour Theta decay management rules — the professional approach to time value and expiry timing Rules for managing options positions in adverse market conditions — rolling, adjusting, and exiting Advanced strategy rules — butterflies, ratio spreads, straddles, strangles, and calendar spreads Risk management and position sizing rules specific to options portfoliosTHIS BOOK IS IDEAL FOR: Options traders at all levels — from complete beginners to experienced practitioners Equity traders seeking to add options strategies to their toolkit NIFTY and Bank NIFTY options traders Income-focused traders building premium-selling portfolios Portfolio managers using options for hedging and income generation Finance professionals and derivatives market students Anyone who has lost money in options and wants to understand why — and how to stopOptions markets reward those who understand the rules and punish those who ignore them. The 180 Golden Rules of Options Trading gives you the complete framework to trade options with precision, manage risk intelligently, and build a systematic edge in one of the world's most dynamic financial markets.ABOUT THE AUTHOR:Varun Bhargav is the Founder of Profit X Research and an independent Financial Markets Researcher, Trader, Investor, and Author with more than 25 years of hands-on experience across equity, derivatives, commodity, and currency markets. He is a SEBI Registered Research Analyst (Reg. No. INH000014508). Through Profit X Research, he publishes research, analytical frameworks, and educational content to help traders and investors make informed, disciplined financial decisions.
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