What You'll Learn

  • Develop a clear understanding of futures and options
  • including the building blocks of financial derivatives and the fundamentals of futures and options markets,Define derivatives and differentiate between types
  • including futures options and other derivatives
  • & understand what is futures & options trading with example,Explain the features of futures contracts
  • including pricing
  • futures trading
  • and cash flow mechanics in the futures and options in stock market,Describe the features of options trading
  • including stock options
  • contract terms
  • pricing
  • and strategies such as option selling,Understand how futures and options work and apply them in real-world financial risk management and risk management scenarios,Analyze the difference in futures and options and evaluate their role in hedging
  • speculation
  • and arbitrage strategies,Determine appropriate futures and options contracts and strike prices for different strategies
  • including futures option trading and day trading,Apply investing in futures and options concepts in portfolio construction and asset allocation strategies,Evaluate the risks and benefits of using futures and options in trading for both short-term and long-term financial decision-making

Requirements

  • Proficiency in the English language,Basic mathematical knowledge is expected,A financial calculator is recommended to fully engage with pricing and valuation concepts in this futures and options course.

Description

This course provides a comprehensive introduction to futures and options, two of the most widely used instruments in financial derivatives markets. It begins with a clear explanation of what futures and options are, how futures and options work, and how these instruments differ from other financial products.

You will build a strong foundation in the fundamentals of futures and options markets, understanding the common characteristics of derivatives and their role in the futures and options markets in the stock market. The course then progresses into a structured, in-depth exploration of:

  • Futures contracts

  • Options contracts

In each section, you will learn:

  • The key features and characteristics of futures and options in trading

  • How pricing works, with detailed examples and practical explanations

  • The most common applications of futures trading and options trading in business and financial markets.

  • How financial risk management and risk management strategies are implemented through hedging and speculation

This futures and options course includes 27 lectures across 6 structured sections:

  • Introduction to derivatives

  • Introduction to futures contracts

  • Futures contracts trading and cash flows

  • Futures pricing

  • Introduction to options

  • Option pricing and applications

Whether you are looking to understand what futures and options trading is, explore investing in futures and options, or learn how to apply these instruments in real-world scenarios, this course provides a strong, practical foundation. It is designed for professionals working across finance functions in organisations of all sizes, as well as those employed in financial institutions such as retail banks, commercial banks, investment banks, hedge funds, asset management firms, insurance companies, and related sectors.


More about this course and Starweaver

This course is led by a seasoned capital markets industry practitioner and executive with many years of hands-on, in-the-trenches financial markets sales, trading and analysis work. It has been designed, produced and delivered by Starweaver. Starweaver is one of the most highly regarded, well-established training providers in the World, providing training courses to many of the leading financial institutions and technology companies, including:

Ahli United Bank; Mashreqbank; American Express; ANZ Bank; ATT; Banco Votorantim; Bank of America; Bank of America Global Markets; Bank of America Private Bank; Barclay Bank; BMO Financial Group; BMO Financial Services; BNP Paribas; Boeing; Cigna; Citibank; Cognizant; Commerzbank; Credit Lyonnais/Calyon; Electrosonic; Farm Credit Administration; Fifth Third Bank; GENPACT; GEP Software; GLG Group; Hartford; HCL; HCL; Helaba; HSBC; HSBC Corporate Bank; HSBC India; HSBC Private Bank; Legal & General; National Australia Bank; Nomura Securities; PNC Financial Services Group; Quintiles; RAK Bank; Regions Bank; Royal Bank of Canada; Royal Bank of Scotland; Santander Corporate Bank; Tata Consultancy Services; Union Bank; ValueMomentum; Wells Fargo; Wells Fargo India Solutions; Westpac Corporate Bank; Wipro; and, many others.

Happy learning.

Who this course is for:

  • This credit analysis course is designed for finance professionals looking to build expertise in credit evaluation
  • credit risk analysis
  • and fixed income financial instruments.,Financial analysts
  • credit analysts
  • and professionals pursuing a credit risk analyst course or credit risk analyst certification,Fixed income traders and portfolio managers seeking to strengthen credit rating and risk analysis skills,Professionals in banking
  • NBFCs
  • and rating agencies involved in corporate credit risk analysis and financial risk management,Risk and lending professionals looking to understand how credit analysis is done and apply credit risk assessment models in real-world scenarios,Investors who want to learn how to evaluate credit quality of bonds before investing and understand fixed income instruments examples,This course is ideal for anyone aiming to master the credit analysis process
  • improve credit risk assessment techniques
  • and make informed lending or investment decisions.
Professional Futures & Options Guide for Investors 2026

Course Includes:

  • Price: FREE
  • Enrolled: 13818 students
  • Language: English
  • Certificate: Yes
  • Difficulty: Beginner
Coupon verified 05:14 PM (updated every 10 min)

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