Financial markets have evolved rapidly over the past two decades, andderivatives trading has become an important component of modern financialsystems. Among various derivative instruments, options trading offerstraders flexibility in expressing market views, managing risk, and buildingstrategic positions based on direction, volatility, and time. However, despiteits growing popularity, many traders still approach options without astructured understanding of how strategies should be selected and managed.This book, “Options Trading Strategies: From Basics to Advanced Setups,”has been written to provide a clear and practical understanding of optionstrading for intermediate learners and market participants. The objective ofthis book is not only to explain different option strategies but also to helpreaders understand the logic behind them—why they work, when theyshould be used, and how they should be managed in different marketenvironments.The chapters in this book are organized to guide the reader fromfundamental concepts of options and derivatives to more advanced topicssuch as volatility-based strategies, risk management, trade adjustments, andreal-world execution practices. Special attention has been given to practicaldecision-making, including strategy selection frameworks, position sizing,margin discipline, and psychological aspects of trading.Ultimately, the purpose of this book is to encourage traders, students, andfinance enthusiasts to approach options trading with discipline, analyticalthinking, and responsible risk management.