Interactive Modules
Markets & Derivatives
3 of 4 live
Learning Lab
Derive
Derivatives · Risk · Strategy

Understand the
Instruments that
Move Markets

Four interactive modules covering options, futures, swaps, and portfolio protection. Adjust real parameters, see live payoff profiles, and stress-test your intuition against historical market events.

Modules Live
3 / 4
Module 01 ● Live
📈
Options Contracts
Options Explorer
Pricing and payoff profiles for calls and puts. Interact with live charts across all four position types — adjust strike, premium, and contract size and watch the diagram update in real time.
Long Call Short Call Long Put Short Put Breakeven Analysis Moneyness
Open Module →
4
Position Types
3
Scenarios
12
Key Terms
Live
Charts
Module 02 ● Live
🛡️
Risk Management
Downside Protection
Six strategies for defending portfolios against market declines. Simulate crashes from 2008, 2020, and 2022 to compare how protective puts, collars, and diversification hold up under real stress.
Protective Put Collar Strategy Bear Put Spread Diversification Inverse ETFs Stop-Loss Orders
Open Module →
6
Strategies
3
Crash Tests
4
Quiz Questions
Live
Simulator
Module 03 ● Live
Futures Contracts
Futures & Forward Markets
How futures contracts lock in prices for future delivery. Explore basis risk, margin mechanics, contango, backwardation, and hedging — anchored in live WTI crude oil market data and real OPEC events.
Forward Pricing Basis Risk Mark-to-Market Contango Backwardation Commodity Hedges
Open Module →
6
Mechanics
3
Case Studies
6
Quiz Questions
Live
Simulator
Soon
Module 04 Coming Soon
🔄
Swap Contracts
Swaps & Rate Derivatives
How counterparties exchange cash flows through interest rate, currency, and credit default swaps. Model swap valuation, duration hedging, and the transition from LIBOR to SOFR.
Interest Rate Swaps Currency Swaps Credit Default Swaps Swap Valuation SOFR Duration Hedging
In Development
🔒
Swap Types
Scenarios
Simulations
Q4
Est. Release
Lecture Slides