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Unclaimed ProfileAspiring market participants seeking to transition from passive investing to active income generation will find a structured, risk-first approach in this comprehensive options trading program led by Guillermo Diaz, CFA. Designed for traders of all experience levels, the course demystifies the mechanics of the options market, shifting the focus away from speculative gambling and toward calculated cash flow generation. Unlike typical introductory guides, this program prioritizes the foundation of professional trading: capital preservation, systematic risk mitigation, and disciplined cash management. Students will explore the crucial psychological differences between long-term investors and active traders, learning how to manage emotional bias when putting capital to work. The core of the curriculum delivers two highly specific, actionable options trading strategies. Instructed step-by-step, learners will master how to properly identify high-probability setups, execute entry and exit criteria, and adjust positions under varying market conditions. Whether you are looking to supplement your regular income or build a foundational framework for active portfolio management, this course equips you with the analytical tools and mathematical guardrails necessary to trade stock options with confidence and consistency.
About the creator
Guillermo Diaz CFA
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Guillermo Diaz, CFA, is a seasoned financial analyst and options trader dedicated to demystifying the complex world of derivative markets for retail investors. With years of rigorous training holding the Chartered Financial Analyst (CFA) designation, Guillermo bridges the gap between institutional-grade financial theory and practical, everyday trading strategies. His educational philosophy revolves around risk management, discipline, and systematic execution rather than speculative guesswork. In his flagship program, "Options Trading Course: Trade for Consistent Income," Guillermo walks students through the mechanics of option pricing, implied volatility, and strategic position sizing. He believes that anyone can master options trading if they are…Show more
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Program Overview
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Course language
Learning format
Subcategory
Price
Price may change · updated within 1–2 weeks
Course language
What You'll Learn
- We will review trading psychology and what it takes to succeed.
- We will address proper cash management: the professional way.
- You will learn how to manage risk in this course. The course starts with the idea that a successful trader needs to understand the risk they take.
- We will go over the goals for a traders versus an investor.
- We will cover two options trading strategies including how to ID trades and execute trades for each.
Best For
- Investors seeking to shift from passive portfolio growth to active income generation.
- Individuals looking for a structured, risk-first methodology rather than speculative trading.
- Traders who want to learn specific, high-probability options strategies with clear entry and exit rules.
- Market participants who prioritize capital preservation and systematic cash management.
Not For
- Traders looking for 'get rich quick' schemes or high-risk gambling strategies.
- Individuals who are unwilling to learn the mathematical and psychological aspects of trade management.
- Experienced professionals already successfully executing complex multi-leg options strategies.
- Learners seeking long-term passive index investing strategies without active market involvement.
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