The Options Rules I Will Not Break

A risk-first framework for options income

A short, practical PDF outlining a risk-first framework for selling options, built from real trades, real losses, and hard-earned restraint.

Why this PDF exists

Selling options can generate income, but only when risk is treated as the primary variable.

This PDF defines the non-negotiable rules that govern every trade decision I make — rules designed to protect capital, reduce emotional errors, and support long-term consistency.

These are not strategies.
They are constraints.

What you’ll learn inside

  • Why capital preservation must come before income

  • How position sizing prevents single trades from mattering

  • Why premium is never chased

  • How volatility — not opinion — determines edge

  • Why mindset and psychological capital determine consistency as much as strategy

Get the free PDF

If this philosophy resonates, start here.

Quick access + occasional updates. Education only. Unsubscribe anytime.

Who this is (and isn't) for

For disciplined traders who value consistency over excitement.
Not for gamblers, shortcut-seekers, or guaranteed-return hunters.

What happens next

After you download the PDF:

  • You’ll receive occasional educational emails that break down real options trading logic, designed for consistent income — risk management, trade set-up, decision-making, and repeatable processes.

  • I’ll share updates on optional paid offerings (1-on-1 coaching, private Discord, and future digital products)

  • No spam. No pressure.

If it’s not for you, unsubscribe anytime with one click.

Final note

Most traders don’t need more information.
They need better rules.

AJ
Founder, Income Options Lab

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