Anton Kreil – Professional Options Trading Masterclass is a professional-style training program focused on how to structure trade ideas using equity options. It is designed for serious retail traders who want a clearer, more systematic way to choose strategies, define risk, and build option structures that align with a portfolio view instead of random one-off trades.
Options can feel like a maze: too many strategies, too many opinions, and too much “guru noise.” This course is positioned to reduce that chaos by filtering what is useful, explaining why certain structures exist, and teaching you how professionals think about mandates, volatility, and trade construction.
The emphasis is on practical understanding: what a strategy is for, when it makes sense, how the payoff behaves, and what risks you must respect. This is trading education, not financial advice, and it does not promise profits. It aims to improve decision quality, discipline, and clarity.
What is the Anton Kreil – Professional Options Trading Masterclass course about?
Anton Kreil – Professional Options Trading Masterclass (often referenced as the POTM video series) is an options education program built around equity options structuring. It is presented as a complement to prior knowledge in volatility, trade idea generation, and risk management, then takes you into the next layer: turning a view into a defined-risk (or defined-exposure) options structure.
The course frames options as a professional toolkit for expressing directional ideas and for hedging. A major theme is “strategy usefulness”: instead of learning dozens of structures just to collect them, you learn how to filter strategies based on practicality, transparency of risk, and what can realistically be implemented in a retail brokerage account.
It also introduces the professional ecosystem around options, including why market makers and proprietary traders operate differently and how that reality should shape what a retail trader chooses to do (and avoid) in the options market.
What will you learn?
- How to approach equity options with a mandate-first mindset: what you are trying to achieve, what you are willing to risk, and how to measure whether the trade “did its job.”
- How to filter options strategies for usefulness, so you focus on structures that match realistic retail constraints and risk controls.
- How to think about the advantages and disadvantages of using options as part of a broader long/short portfolio approach.
- How common directional structures work, including long calls and puts, and how payoff and risk change with strike, time, and underlying movement.
- How to evaluate short option exposure responsibly, including the risk profile of short puts and short calls and why that risk demands strict controls.
- How covered positions work in practice, including covered-call style income structures and collar-style risk shaping.
- How to use options in a portfolio context, including index options concepts and hedging approaches that aim to reduce drawdown exposure.
- How option spreads change payoff, including spread families such as ratio and ladder structures, and how they can express a view with different risk boundaries.
- How volatility connects to options pricing, with practical explanations of implied volatility, risk/reward intuition, and what “volatility assumptions” mean for trade selection.
- How to interpret key options concepts such as Greeks and why volatility and positioning mechanics can matter as much as direction.
- How long-volatility directional combinations behave, including straddle/strangle-style structures and related variations used to express different uncertainty profiles.
Who is it for?
Anton Kreil – Professional Options Trading Masterclass is for intermediate-to-advanced retail traders who want professional structure, not shortcuts. It is most appropriate if you already understand basic market risk, position sizing intent, and the idea of generating trade ideas from a broader process, and you now want to learn how options can be used to structure those ideas.
It may also fit investors who want to understand options primarily for portfolio protection and risk shaping, as long as they accept that options require discipline and that mistakes can be costly. If you are brand new to markets, you will likely get more value by first building foundation knowledge (market structure, volatility fundamentals, and basic risk management) before diving deep into option structuring.
How does it work?
This program is delivered as an online video series. Public descriptions of the course reference a total of 28 videos and approximately 34 hours of instruction, and it is presented as including spreadsheet templates to support learning and analysis.
The teaching style is structured: you build understanding from mandate and strategy selection, into core directional options structures, then into spreads, volatility concepts, and portfolio applications such as hedging. The goal is to help you develop a repeatable decision flow: define the objective, select an appropriate structure, calculate and understand risk, and interpret how that structure behaves as conditions change.
Because options outcomes depend on market conditions, execution, and risk management, use the course as a skill-building system: take notes, recreate calculations, and practice mapping “trade ideas” into structures with clearly defined exposures.
Benefits
Less confusion: You learn a clearer framework for choosing strategies, which helps you avoid going down rabbit holes that do not improve results.
Better structure: You learn how professionals think about building option trades with defined payoffs, clearer risk boundaries, and portfolio-aware intent.
Sharper risk awareness: By focusing on payoff logic, volatility, and exposure, you can spot hidden risks sooner, especially in short-option structures.
Portfolio thinking: The course is positioned around long/short portfolio context and hedging concepts, helping you move from single trades to a more consistent approach.
More disciplined execution: A mandate-first workflow can reduce impulsive entries and improve consistency in how you evaluate ideas.
Prerequisites
You should already understand core trading concepts such as risk per trade, position sizing intent, and basic market mechanics. A working familiarity with volatility (at least what it means and why it matters) will help you get more from the volatility and Greeks sections.
Options are leveraged instruments and can carry significant risk, including the potential for rapid losses. This course is educational and does not provide financial advice or guarantee profits. Always match your exposure to your risk tolerance, and consider professional financial guidance for personal investment decisions.
About the author
Anton Kreil is associated with the Institute of Trading and Portfolio Management (ITPM), which he is described as having set up in 2011 and from which he has led global operations. Public course descriptions also describe him as a former professional trader at Goldman Sachs, and the options masterclass is positioned within the ITPM education ecosystem.
The course is also described as being taught alongside other instructors connected to the program. The practical takeaway for students is a professional-style methodology for options structuring, focused on clarity, selection, and risk-aware implementation.
Why buy from our online course platform?
Centralize your digital purchases in a single account, keep your history, and access them whenever you want to watch online or download. Plus, you’ll always find courses on our platform at affordable prices.
For a technical subject like options, repeat access matters. Keeping your training organized helps you revisit specific structures, re-check payoff logic, and refresh volatility concepts whenever you need to review before placing a trade.
Course content / Course curriculum
- Mandate and strategy selection: how professional-style objectives guide what structures you should or should not use.
- Usefulness filtering: identifying strategies that are practical for retail traders versus those that often create unnecessary complexity.
- Directional options foundations: long calls and puts, with risk and profit mechanics explained in a structured way.
- Short option exposures: how short puts and short calls behave, and why the risk profile demands strict discipline.
- Covered and collar-style structures: shaping payoff and exposure using combined option legs.
- Index options and portfolio hedging concepts: building protection and risk-shaping into a broader portfolio lens.
- Spread structures: understanding spreads, including ratio and ladder-style constructions and their payoff trade-offs.
- Market mechanics and pricing intuition: market maker context, volatility, and core Greek concepts used to interpret risk.
- Volatility masterclass: implied volatility concepts, risk/reward intuition, and how volatility assumptions affect structures.
- Long-volatility combinations: straddles, strangles, and related variations, with practical “when it makes sense” guidance.
Access the course now if you want a more professional, structured way to choose and build equity options trades with clearer risk logic and portfolio context.
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