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Akshay PahalDerivative Trader in proprietary Firm.
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I am a professional derivatives trader with 3+ years of live prop-desk experience, currently active in the markets. My work focuses on systematic and risk-defined trading, not discretionary guessing.
1) I specialize in options trading, volatility structures, and delta-neutral frameworks, with real-world execution experience in: Delta-neutral & volatility-based strategies Straddles, strangles, butterflies, ratio spreads Index & stock options structure selection Risk management, Greeks interpretation & adjustments Market regime identification (trend vs range vs volatility expansion) In addition to trading, I work extensively with Pine Script (TradingView) to:
2)Build custom indicators and strategy logic Visualize spreads, volatility bands, and synthetic structures Convert discretionary ideas into rule-based systems.
My teaching is logic-driven and market-realistic: Focus on why a strategy works, not just how Emphasis on risk, position sizing, and drawdown control No “sure-shot” claims or signals — only process and structure Suitable for intermediate to advanced traders who want professional clarity
Who Should Learn From Me Traders transitioning from retail to professional-style trading Options traders struggling with consistency and structure Learners who want to understand volatility, Greeks, and spreads deeply Traders interested in automation, Pine Script, and system building If you want to trade like a risk manager first and a trader second, you’ll find my sessions direct, practical, and grounded in real prop-desk experience.
Derivative Trader (Dec, 2022–Present) at ebullientsecurities pvt.ltd
Trading in Options using Delta Neutral Strategies, Ratios, butterfly spreads, Straddles, strangles etc.
Education
Equity derivatives (Nov, 2022–now) from NISM–scored 70.25
Fee details
₹1,000–3,000/hour
(US$10.53–31.58/hour)
For Beginner Level - 600-800 For Intermediate - 800-1200 For Advance - 2000-4000
Courses offered
MAKE YOUR OWN STRATEGY
US$200
Duration: 2 Weeks
Delivery mode: Online
Group size: Individual
Instruction language:
English,
Hindi
Certificate provided:
No
Most traders keep jumping from one strategy to another without understanding why anything works. This course teaches a professional framework to design, test, and execute your own trading strategy, instead of copying setups from others. This course is asset-agnostic—the same framework applies to Forex, options, spreads, and volatility strategies.
Professional Forex Trading Foundations
US$200
Duration: 2 Weeks
Delivery mode: Online
Group size: Individual
Instruction language:
English,
Hindi
Certificate provided:
No
This course introduces Forex from an institutional and macro-aware perspective, not retail indicator trading. Students learn how currencies actually move—through rates, flows, correlations, and risk sentiment.
Trend & Momentum Trading in Forex
US$100
Duration: 4 Days
Delivery mode: Online
Group size: Individual
Instruction language:
English,
Hindi
Certificate provided:
No
This course focuses on rule-based trend participation, avoiding late entries and overtrading. Emphasis is on structure + confirmation, not prediction.
A deep dive into delta-neutral trading, the backbone of professional options desks. This course teaches how to extract edge from volatility, not direction, and how to manage positions dynamically as markets evolve. You will learn: Delta, Gamma, Vega interactions in real trades Volatility expansion vs contraction frameworks Adjustments, rebalancing & hedging logic Practical delta-neutral structures for indices
All Options Strategies
US$200
Duration: 3 Weeks
Delivery mode: Online
Group size: Individual
Instruction language:
English,
Hindi
Certificate provided:
No
This course is a complete, structured walkthrough of all major options trading strategies, taught from a professional trading and risk-management perspective. Instead of treating strategies as isolated setups, the course explains why each strategy exists, what market condition it is designed for, and how professionals choose between them. The emphasis is on payoff structure, Greeks, volatility, and risk, not on chasing entries. By the end of the course, students will understand how to select, modify, and manage options strategies logically, rather than memorizing combinations.