Real-World Application of Selling Call Options
This dedicated case study focuses on how traders analyze, execute and adjust call-selling strategies. It examines the potential risks and rewards and the market factors that influence each decision.
Course update
This course is temporarily unavailable and will return soon after it has been re-edited.
What You Will Learn After the Update
- Analyze bullish, bearish and neutral market conditions before selling calls.
- Select strike prices and expiration dates that fit the market outlook.
- Manage risk while targeting premium income and protecting underlying positions.
- Review real-world selling call outcomes and the lessons behind them.
- Adjust or exit positions to optimize gains or limit losses.
Before You Begin
The original course recommends completing Options Trading Levels 1 through 3 first. This case study was separated from the main course to provide a focused, practical examination of the selling call strategy.



