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FREE - FTF 1.0 - Master The Options Wheel Strategy, Boost Your Income 12-24% with Cash Secured Puts and Covered Calls

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FREE - FTF 1.0 - Master The Options Wheel Strategy, Boost Your Income 12-24% with Cash Secured Puts and Covered Calls

4 ratings

Welcome to the Feed The Family (FTF) Series

FTF 1.0 is my personal creation—a low-cost (now completely free), easy-to-digest, progressive options course.

I originally designed these courses to be affordable, but I’ve decided to give them away for free to help more traders gain the skills to generate consistent income from the stock market.

The written and short video courses focus on practical, actionable strategies that traders of all levels can implement—so you can build confidence, take control of your financial future, and keep the proverbial pot boiling.

Enjoy the journey, and let’s get to work. 🚀

Who Can Profit From FTF 1.0?

  • Traders and Investors
  • Students
  • People Working From Home
  • Retirees
  • People Looking to Retire Early
  • Anyone Looking for Additional Income

Overview of what you get in FTF 1.0:

  1. 1.5+ hours of video course material
  2. Access to all of the instructor's spreadsheets
  3. Lifetime access to added modules
  4. Comprehensive learning hub for passive income seekers
  5. Strategies for both UK and US markets
  6. Micro-lessons (under 15 minutes) with actionable steps
  7. Options Campaign Manager spreadsheet
  8. Continuously updated content

Results:

  • Potential to achieve 12-24% annual returns through a combination of dividends, option premiums, and long-term stock appreciation
  • Ability to generate consistent income through options trading on dividend-paying stocks
  • Enhanced dividend growth investing, value investing, and high-yield income investing

Why you need FTF 1.0?

  1. Learn a skill that can transform your approach to the market
  2. Learn the skill that allowed me to become work optional at age 37
  3. Generate monthly cash flow and improve your financial future
  4. Master a strategy that focuses on selling options on stable, blue-chip dividend-paying companies
  5. Reduce overall risk compared to outright stock ownership
  6. Gain knowledge from an experienced trader who learned from a 25-year veteran
  7. Access to strategies not taught anywhere else
  8. Flexibility to adapt the approach to your investing style
  9. Potential to quit your job and achieve financial independence
  10. Learn how to weather market volatility better

The course aims to focus on generating income while managing risk through options selling on established companies with consistent dividend records.

Returns Returns Returns

While I can't promise you'll replicate my same results (legal made us say that), let's just say our target makes most savings accounts look like penny jars.

I personally shoot for a 12-24% annualised returns on our trades.

Annualised Returns: The Speedometer of Money-Making

I believe in clarity almost as much as I believe in avoiding payouts. So let's break down our returns talk:

Annualised ≠ Total Returns

Here's the deal:

  • If we squeeze a 2% return out of the market in just one month, that's like driving at 24% speed for a year.
  • Annualised return is our financial speedometer. It shows how fast our money is growing, whether we're on a week-long sprint or a month-and-a-half marathon.

Why do we love this metric? It keeps us grounded. Unlike those "Get-Rich-Quick-Or-Die-Trying" option services boasting about their occasional jackpot trades, we prefer consistent speed over flashy burnouts.

Remember: Anyone claiming 50%, 100%, or 200% total returns on short-term trades is probably hiding a graveyard of losses.

What's taught in the FTF 1.0 course is not about those triple-digit one-hit wonders. We're like the steady rock band that keeps touring year after year.

Our strategy relies on strict criteria for evaluating potential trades. This selective approach often leads to successful outcomes, allowing us to close positions earlier than initially planned. 

As a result, we frequently achieve a higher annualised return on investment than our initial target. This method of early closure on profitable trades contributes significantly to our overall performance.

Like these short put trades from 2023: 

A 8 day trade on TQQQ that produced a 38.65% annualised return.

A 13 day trade on CVS that ended with me producing a 39.06% annualised return. 

A 25 day trade on UK-based PSN.L that produced a 27.39% annualised return.

A 4 day trade on British American Tobacco (BATS.L) where I was able to book a 90.34% annualised return.

And these short put trades from 2024:

A 11 day trade on SWK that ended with a 49.64% annualised return. 

A SUPER QUICK 5 day trade on TROW that resulted in 138.09% annualised return. 

A 17 day trade on WFC that ended with me closing the trade booking an 29% annualised return. 

A 42.6% annualised return on HPQ after just 11 days in the trade.

A nicely timed trade on PAYX that resulted in a 71.09% annualised return after just 17 days

A 46.19% annualised return on TXN after just 16 days.

A 5 day trade on AMD that saw me book a 67.95% annualised return. 

A 12 day trade in MCD that resulted in booked annualised returns of 28.57%.

Here's a fuller campaign on dividend aristocrat GSK - GlaxoSmithKline

Performance Summary:

  • Total premium collected: £911
  • Duration: 112 days
  • Total Return (based on daily average-weighted capital): 6.36%
  • Annualised ROI: 20.73%

And here's another shorter duration options campaign on dividend stock - BP

Performance Summary:

  • Total premium collected: £313.8
  • Duration: 75 days
  • Total Return (based on daily average-weighted capital): 3.97%
  • Annualised ROI: 19.33%



While the majority of my trades align with the Sleep Easy Dividend Options Income Strategy, comprising about 80% of my portfolio, I occasionally engage in more extended campaigns on select stocks that I find particularly attractive for options selling. These longer-term positions, representing the remaining 20% of my trades, deviate from my standard approach.

In these cases, I diversify my strategy by selling options on leveraged ETFs and high-momentum growth stocks like Tesla. However, I exercise caution with these more volatile assets by maintaining significantly smaller position sizes compared to my core holdings.

This balanced approach allows me to capitalise on potential high-reward opportunities while still adhering to my primary risk management principles.

Here’s three that I closed recently. You can see every one of my trades during each campaign.

The first is a campaign on SOXL

Performance Summary:

  • Total premium collected: $3,311.99
  • Duration: 87 days
  • Total Return (based on daily average-weighted capital): 27.98%
  • Annualised ROI: 117.40%


The second is a campaign on ticker, TNA

  • Net premiums: $3,074.15
  • Total return: 20.59%
  • Annualised ROI: 107.36%


The third is a campaign on TSLA that ran for 211 days in total. 

  • Total net premium (incl. potential share appreciation: $10,265.82
  • Return on avg daily weighted capital: 41.01%
  • Annualised ROI: 70.94%
  • Comparison: Buy & hold strategy (Aug'23 to date closed): ~10% return


What people are saying about the course!

“A rare gem - straightforward video and text explanations of profitable options strategies by a successful UK based trader who has been there, done it and is still doing it. Covering both the UK and US markets, its a no-brainer, if you're at all interested in options... Just get it!"

“Thanks Kevin for all the help and support the past few months. Really appreciated.” 

"I am an insurance broker and I love the collect-sell premium philosophy."

“Appreciate all your support Kevin”

"I was so happy to find this course. Kevin's way of teaching is fun and practical. Plus, Kevin is always there to help with any questions”

"I've read and studied carefully the first 9 lessons and also your corresponding videos. I think they are very well explained and get straight to the point... congratulations on the contents of the course. I'm enjoying it."

"Joining this course was a huge win. I learned how to skip bad trades without worrying. Thanks to Kevin, who always responds quickly to my questions, I'm making smarter choices and seeing steady profits."

"This course is full of valuable advice for option sellers. I joined a few of the live trade services that Kevin references in the Information Library Section and I have been doing really well following these”

“The course has turned my trading into a business.”

"Great course. I've learned more in four months than I did in years on my own. The resources and support from the course have been really helpful. Very happy, and great value.” 

"Thanks Kevin for getting back to me so quickly” 

“Your material was great, set me on the right road and gave me a great start.“

So Here's What Is Included

A comprehensive learning hub for passive income seekers wanting to learn how to sell options. It's an online, video and written-based, study at your own pace course.

🎥   1.5+ Hours of Video Course Material
📊   Access To All My Spreadsheets
🔑   Lifetime Access to Added Modules


Meet Your Guide 🚘

and I’m OBSESSED with options trading!

My wife and friends have imposed a ban on me talking about it

But, nothing could stop me from quitting my consulting job to pursue it full-time!

Turning my trading into a full time job makes me so happy, and I want the same for you!

That’s why I don’t hold back any tips or strategies. It’s why I share EVERYTHING I do and why I do it, so you can do the same! 

What's next?

➡️  After purchasing, you will have full access to everything.

➡️  You don’t need to do anything. Everything will be available to you to go through at your own pace.

➡️ Any problems then just get in touch hello@kevinsmith.uk I reply to most questions pretty quickly, and I am happy to help in anyway I can.

See you inside 👊🏻



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Watch link provided after purchase

The course covers:

Lesson #1
Mastering Cash-Secured Puts (Video)
Lesson #2
Mastering Covered Calls (Video)
Lesson #3
Options Chains, Pricing and Liquidity (12-Page Guide)
Lesson #4
Position Sizing & Money Management (Video)
Lesson #5
Weekly Vs Monthly Options (Video)
Lesson #6
The UK Vs the US Market (Video)
Lesson #7
Mastering Adjusted Cost Basis And Accounting Methods (Video)
Lesson #8
Technical Analysis: Best 3 Indicators For Options Sellers (Video)
Lesson #9
Mastering Annualised Returns (Video)
Lesson #10
How To Manage In-The-Money Puts (Video)
Lesson #11
How To Manage Out-The-Money Puts (Video)
Lesson #12
How To Manage In-The-Money Covered Calls (Video)
Lesson #13
How To Manage Out-The-Money Covered Calls (Video)
Lesson #14
Choosing A Broker (Video)
Lesson #15
Tesla Live Trade Examples (Video)
Lesson #16
How To Record Your Trades (Video)
FTF Ledger
Free spreadsheets, live trade recommendations, and more
VIP Report #1
Becoming a Nightmare Underwriter Selling Puts (Video + Written Report)
VIP Report #2
How To Grab A Bargain Selling Options (Written Report)
Bonus #2
How to Protect Your Portfolio From A Crash (Written Report)
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