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Quick Facts

Medium Of InstructionsMode Of LearningMode Of Delivery
EnglishVideo and Text Based

Course Overview

The Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course is a five-day Management Development Program (MDP) offered by the Indian Institute of Management Tiruchirappalli (IIM Trichy). This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course is designed to equip participants with a deep understanding of technical analysis and derivatives trading.This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course is led by Dr. James Dominic, a seasoned financial analyst and educator. This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course combines theoretical knowledge with practical applications to help participants navigate the complexities of financial markets.

This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course is ideal for professionals, raiders, investors and individuals interested in enhancing their trading strategies and understanding of derivatives. Through a blend of lectures, simulations, and interactive discussions, participants will gain insights into market dynamics, risk management, and trading strategies.

The Highlights

  • Five-day intensive program at IIMT Chennai Campus
  • Led by Dr. James Dominic
  • Hands-on trading simulations and exercises
  • Comprehensive curriculum
  • Interactive sessions with real-world market scenarios
  • Focus on risk management techniques

Programme Offerings

  • Case Studies
  • Hands-on exercises
  • Real-world applications
  • IIM Trichy faculty
  • Comprehensive curriculum

Courses and Certificate Fees

Certificate AvailabilityCertificate Providing Authority
yesIIM Trichy

The fees for the Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course is : 

Fees components

Amount

Programme Fees

Rs. 65,000/- + GST


What you will learn

Technical skillsRisk ManagementTrading skillsFinancial knowledge

The participants will delve into the fundamentals of technical analysis, exploring chart patterns, trends and key indicators like RSI, MACD and Bollinger Bands. This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course emphasises the practical application of these tools to make informed trading decisions. The participants will gain a comprehensive understanding of derivatives trading, including futures and options and the critical role of option greeks in pricing and risk assessment.

Through interactive sessions and simulations, participants will develop effective day trading and positional trading strategies. This Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course also covers essential risk management techniques, such as stop-loss orders and position sizing, to help participants mitigate potential losses. The participants will be equipped with the skills and confidence to navigate the financial markets proficiently.


Who it is for

The target audience for the Smart Trades, Big Returns: Technical Analysis & Derivatives Strategies course includes:


The Syllabus

  • Introduction to technical analysis principles and concepts.
  • Overview of chart patterns, trends, and support/resistance levels.

  • Reviewing common candlestick patterns and their significance in trading decisions.  
  • Practical examples illustrating the use of candlestick patterns.

  • Exploring popular indicators like Relative Strength Index (RSI), Moving Average Convergence Divergence (MACD), Bollinger Bands, Fibonacci, and more.  
  • Interpreting indicator signals and integrating them into trading strategies.

  • Overview of derivative instruments such as futures and options.
  • Understanding the mechanics of derivatives markets and their role in risk management and speculation.

  • Introduction to Option Greeks: Delta, Gamma, Theta, and Vega.  
  • Impact of Option Greeks on option pricing and risk management.

  • Scalping, momentum trading, and breakout strategies for intraday trading.
  • Leveraging technical analysis tools and indicators for day trading success.

  • Swing trading and trend-following strategies for longer-term positions.
  • Managing risk and setting realistic profit targets for positional trades.

  • Identifying and mitigating common risks associated with derivatives trading.
  • Implementing stop-loss orders, position sizing, and spread strategies.

  • Analyzing real-life trading scenarios and evaluating different trading strategies.
  • Group discussions and Q&A sessions to address participant queries and concerns.

  • Promoting ethical conduct and responsible trading behavior.  
  • Understanding the importance of discipline, emotion management, and regulatory compliance in derivatives trading.

Instructors

Articles

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