Most traders who reach out to me have already consumed a lot of content. The problem is never the strategy. Here's what's actually happening.
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Educational only, not financial advice.
Most traders who reach out to me have already consumed a lot of content. The problem is never the strategy. Here's what's actually happening.
You open your platform and don't know what to trade today. You wait until something "feels right."
You've tried multiple strategies but none of them feel repeatable or consistent, so you keep switching.
You second-guess your entries. When a trade goes against you, you either panic-close or hold and hope.
You've had winning trades, but you can't explain exactly why they worked or how to replicate them.
You know you need to "manage risk" but you don't have specific written rules for exactly when and how.
You keep consuming content but still don't know what trade to place when you open your charts tomorrow.
This is the foundation of everything I teach, condensed into one live session. Here is exactly what we cover.
Why you're still losing, even with good strategies
Most traders don't lose because strategies don't work. They lose because of how they make decisions, what they choose to trade, when, and how they manage it under pressure. You'll see exactly where the decision-making breaks down and what the fix looks like.
The casino mindset, the structural edge sellers have that buyers never will
70–80% of options expire worthless. The sellers collect that premium. This is not a secret, it's a mathematical fact built into how options are priced. I'll show you exactly how to put this edge to work in every trade using the 17/45 framework.
Your realistic income plan, built around your actual account size
Most traders set income targets their accounts cannot safely support. We'll work through the math live, what does a $10k, $20k, or $50k account actually support in weekly premium without dangerous sizing? You'll have your realistic number before the session ends.
The pre-trade checklist, the 10-question filter before every entry
I'll walk through my complete pre-trade checklist on a live setup, step by step. By the end of this section you'll have the exact checklist you can use on your next trade this week. This is the single tool that eliminates the majority of bad entries before they happen.
How probability replaces guessing, using the market's own math
How to use delta as a probability tool. How to use IV rank as your entry timing signal. How the market's own expected move tells you exactly where to place your strikes. This removes direction-picking from your process and replaces it with math.
30 minutes of live Q&A, bring your real trades and real questions
Not a rehearsed Q&A. Bring the actual trade you're looking at. Bring the position that's been tested. Bring the question you've been afraid to ask. I answer everything publicly so everyone in the session learns from each question.
I spent over a decade trading options the wrong way before I figured out what actually works.Like most retail traders, I started on the buying side. News in the background. Twitter scrolling for the next setup. Calls before earnings. Puts when I "felt" a pullback coming. I told myself I was being strategic. I was guessing, and the market was charging me tuition for it.The wipeout came faster than I want to admit.
Not a rough quarter. The whole account. And after I sat with it long enough to stop blaming the market, one question kept surfacing: if 70 to 80 percent of options expire worthless, why was I constantly on the wrong side of that math?The answer was simple and uncomfortable. I was paying a premium for the privilege of being right about direction, timing, and magnitude all at once. The house was selling me lottery tickets and I kept buying them.
So I flipped the entire approach. I started selling premium instead of buying it. But I refused to do it on instinct this time. I pulled 6,354 trading days of SPY data and tested every assumption I'd ever held about strikes, expirations, and volatility. The numbers were unforgiving and clarifying. 79.9 percent of daily moves stayed inside one standard deviation. The edge wasn't in predicting direction. It was in selling time and volatility to people who thought they could.That work became the 17/45 framework, the IV rank filter, and the trade scorecard I use every week. Sqilled exists because no one taught me this when I needed it. So I built the school I wished I'd had.
Nobody ever explained delta as a probability tool that clearly before. I've been using it as a directional measure for two years. The pre-trade checklist alone was worth the hour.
Masterclass Attendee
Intermediate trader, 2 years experience
Working through the income plan math live was a wake-up call. I've been targeting returns my account literally cannot support without dangerous sizing. That one realisation changed my whole approach.
Masterclass Attendee
$12k account, options trader
This is the free content that's better than most paid courses I've bought. The Q&A alone was worth showing up live for. Addy answered my actual trade, not a hypothetical.
Masterclass Attendee
Full-time professional, part-time trader
5-Day Options Selling Challenge
The masterclass covers the foundation. The 5-day challenge builds the complete system: entry rules, exit rules, management framework, and a 30-day income loop, all written and specific to your account. $149.
Free 5-Day Email Course
Can't make the live session? The free 5-day email course covers the complete foundation: seller's mindset, CSPs, credit spreads, rolling and exits, and trade discipline. One email per day. Completely free.
1-on-1 Coaching
For traders who want their system built around their specific account, their specific underlyings, and the specific rules they keep breaking. 3 spots per month. Starts with a free discovery call.
Reserve your seat. Show up. Leave with a system.
60 min content + 30 min Q&A · Free
Educational only, not financial advice · Seats are limited · Replay for 48 hrs