TSTA FUTURES PRO

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TSTA FUTURES PRO

TSTA Futures Pro is designed to help traders master both buying and selling in Index and Stock Futures through a structured, price-action-based approach. Instead of relying on lagging indicators or random strategies, this course teaches how to identify setups, time entries, plan exits, manage rollovers, and re-enter with clarity. The focus is on building confidence, consistency, and logical decision-making so traders can handle the full lifecycle of a futures trade effectively.

    84960
    859601% off
    Course Image
    5 Ratings
    Learners

    Application closes on

    31 Oct, 2025

    Program duration

    3 Months (2 weeks of classes + 2.5 months of practice sessions)

    Learning Format

    Online (Live on Zoom)

    What Problem Does It Solve?

    TSTA Futures Pro gives you an unbeatable edge in Futures trading by teaching the complete lifecycle of a trade—from logical entries to safe exits—without relying on lagging indicators. Learn to read price movements, manage risk effectively, and master position sizing. This course transforms futures trading from intimidating to systematic and profitable.

    Core Topics Covered:

    • Introduction to Future Markets – Understanding derivative markets, expiry dates, contract values, lot sizes, and the mechanics of short selling • Equity vs Futures Markets – Clear differentiation and strategic advantages of each • Multi-Asset Futures Trading: o Stock Futures (positional trading strategies) o Bank Nifty Futures o USD & INR Currency Futures o Commodity Futures • Stock Selection Criteria – Systematic approach to identify high-probability futures trades; when to buy and when to sell • Data Collection Strategies – Master the art of gathering and analyzing relevant market data • Gap Up & Gap Down Rules – Calculate precise entry, target, and stop-loss prices during volatile market opens with confidence • Technical Concepts: o Lot Size optimization o Open Interest analysis o Tick Size understanding • Complete Trade Execution Framework: o Entry strategies with logical reasoning o Target setting (Exit Percentage methodology) o Stop Loss placement and management o Complete Exit strategies o Re-Entry Rules for continued opportunities • Rollover Process Mastery – Learn to seamlessly transition positions from near-expiry contracts to the next contract, ensuring continuity and capital efficiency • Research Methodology – Develop your own market research framework • The Three Pillars: Risk Management, Mind Management, Money Management

    Key Features

    Live Interactive Classes on Zoom with limited-time access to recordings

    15 Days of Intensive Training followed by 2.5 months of guided practice sessions

    Comprehensive Study Materials including PowerPoint presentations and formula-based Excel sheets

    Live Doubt Resolution Sessions with expert mentors

    Digital Certificate awarded upon successful course completion

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