Average star rating
Programs
Reviews
Who Is Eric Blair?
Eric Blair is a dedicated financial educator and active market participant who specializes in demystifying the world of derivatives. With years of hands-on experience navigating the volatile options market, Eric has transitioned from a self-taught private trader to a structured mentor. His teaching philosophy is built on the belief that options trading should not be treated like a casino; instead, he emphasizes calculated risk management, mathematical probability, and strategic leverage. Through his flagship course, "Options Trading Leverage: Start Trading Options This Month," Eric breaks down complex financial instruments into digestible, actionable steps. He focuses heavily on real-time market analysis, step-by-step setup guides, and psychological discipline, ensuring that students do not just memorize patterns but truly understand market mechanics. Eric’s approachable, jargon-free instruction style is designed specifically for everyday retail investors looking to build an additional income stream or protect their existing portfolios without risking excessive capital. By stripping away Wall Street pretension, he empowers students to confidently place their first options trades with clarity and precision.
Overview of Eric Blair
* Based on public sources, unverified.
Eric Blair's Programs
No verified reviews yet, be the first to review
Stepping into the financial markets can feel overwhelming, but Options Trading Leverage: Start Trading Options This Month simplifies the entry barrier for aspiring traders. Created by Eric Blair, this comprehensive beginner-friendly guide focuses on demystifying the mechanics of leverage and high-probability trading. Unlike traditional stock purchasing, which requires significant capital to see meaningful returns, options trading allows you to control larger positions with limited upfront risk. This course is specifically structured to help you navigate both bullish and bearish market cycles, ensuring you can find profitable opportunities regardless of macroeconomic trends. Students will learn how to identify and evaluate brokerage platforms that offer the best fee structures and user interfaces for options execution. From there, the curriculum dives deep into the mathematics of probability, showing you how to systematically place trades that carry a statistical 66 percent or higher chance of profitability. By focusing on risk management, position sizing, and rule-based entry and exit strategies, Eric Blair equips you with the confidence to start generating consistent income of 100 dollars or more per trade within your very first month of active trading.
Is Eric Blair Legit?
Run a Free Eric Blair Credibility Check with AllPros Guru Detector
AllPros’ Guru Detector analyzes verified student reviews, checks for authenticity patterns, and gives a clear A–F trust grade, based purely on real student outcomes. No paid testimonials!
Not sure about another creator? Run a free check at AllPros Guru Detector before you spend a dollar.
FAQ
What is Eric's background in trading?
Eric began his trading journey as an independent retail investor, spending thousands of hours analyzing market patterns, studying options Greek metrics, and refining risk-mitigation strategies. He now shares these practical, field-tested methodologies directly with his students.
Who is the ideal student for Eric's courses?
His courses are tailored for motivated beginners and intermediate investors who want to understand options trading from scratch. If you have some stock market familiarity but feel intimidated by leverage, options Greeks, or spreads, Eric's step-by-step approach is designed for you.
What is Eric's teaching style like?
Eric uses a practical, visual-heavy teaching style. Instead of lecturing purely on theory, he walks students through live-market screen shares, real trade setups, and worst-case scenario planning to ensure concepts are deeply understood before capital is committed.
How does Eric approach risk management in his courses?
Risk management is the absolute foundation of Eric's curriculum. He teaches students how to strictly size their positions, use stop-losses effectively, and leverage options strategies to limit downside exposure while maximizing potential returns.