Perfect the ratio and time spread of your options strategies to mitigate risk and increase profitability across changing market conditions.
Investment: $399
This course aims to increase the profitability of each implemented multi-leg options strategy through precise use of ratio and time spreads.
Throughout this course you will discover how advanced options traders refine and layer their positions to better target volatility, time decay, and risk.
Set up ratio and backratio spreads designed to capture exponential growth while clearly defining risk around critical price areas.
Evaluate the expiration date for each leg of a multi-leg strategy so your structures are built for peak performance and optimal time decay.
Explore delta, gamma, theta, and vega at a deeper level so you can anticipate how your ratio and time spreads will behave as the market moves.
Create clear repair and exit plans for underperforming trades, including when to adjust, scale, or close positions to protect capital.
Traders already comfortable with multi-leg structures who want to fine-tune the timing and ratios of their trades.
Those looking to use ratio and time spreads to better harness volatility, time decay, and risk/reward profiles.
Traders building rule-based playbooks who need precise frameworks for entries, sizing, expirations, and adjustments.
A focused, 4-week curriculum — from concept to confident execution of ratio and time-based strategies.
See how dialing in ratio and time transforms your options trading — from loosely structured trades to highly tuned, performance-oriented strategies.
Each module builds on the last — concepts → structures → timing → risk → mastery.