From zero to your first income with options in 90 days
The whole system fits in a week: with ~1 hour of video a day you'll have watched it all.
You buy stocks and wait. If they go up, you win; if they fall, you watch your portfolio bleed red and all you can do is hold; and if they move sideways for months, your capital doesn't pay you a single euro. Options change the rules of the game: you collect income every month, with your maximum loss capped before you enter, and you win even when the market doesn't rise.
One-time payment · then it goes up to 899€ · 30-day guarantee
Buying stocks and holding has three holes
With stocks you bet on a single direction. If the market stalls or falls, your money sits still (or in the red). You depend on getting the direction right.
When the correction arrives you watch your portfolio bleed with no tools to defend yourself. Holding and praying is not a plan.
You can wait years for a stock to appreciate. Meanwhile, you don't collect a single euro. Your money works much less than it could.
Options give you a third way: turn your portfolio into a source of monthly income, with capped risk and winning even when the market doesn't rise. The Taller ECO is the exact system to do it, the same one with 20 years of real backtesting behind it.
You won't wait 90 days for your first win
The first one comes in week one. Here's how the path breaks down:
You place your first spread knowing the maximum loss before you enter. The ECO calculator gives you the strikes and the risk — you don't calculate anything by hand.
You master selling puts and covered calls to collect premium on your portfolio, plus credit and debit spreads with risk always capped.
You apply the strategy with the entry checklist and the indicators telling you when there's a trade. You follow rules, you don't decide by eye.
Everything you're going to learn
From the fundamentals of options to a complete professional strategy. No prior options knowledge required.
What options are, how calls and puts work, what the Greeks mean (Delta, Theta, Vega, Gamma) and how to read an options chain. All explained without math.
Master Bull Put Spreads, Bear Call Spreads, Bull Call Spreads and Bear Put Spreads. Understand when to use each one and how to cap your maximum risk before opening every trade.
Learn Covered Calls and Cash Secured Puts to generate extra income from the stocks you already hold and buy the ones you want at a discount.
Systematically selling options lets you collect premiums on a recurring basis. You'll learn to generate a monthly income stream with statistical probability on your side.
Before opening any trade you'll know exactly how much you can lose at most. You'll learn to size positions, define profit targets and actively manage every trade.
Learn to read the VIX, understand market regimes and know exactly when it's the optimal time to sell options and when it's better to stay out.
The complete ECO strategy
A systematic investment strategy with an options overlay, validated with 20 years of real market data.
Real results: 20 years of backtesting (US data, 2007-2026)
Real bid/ask data from ORATS for SPY options and dividend-adjusted prices for ETFs. No tricks, no hindsight optimizations.
Comparison: Over the same period (2007-2026), SPY Buy & Hold suffered a maximum drawdown of -55.19% — almost triple that of ECO, with a similar annual return. The strategy cuts the drawdown by ~64%. (The European UCITS version, 2012-2026, returns 11.41% with just -15.39% drawdown.)
Don't take my word for it: see it yourself
I'm opening up 4 full lessons of the workshop — with their video and their quiz — so you can see the level before deciding. No sign-up.
What's included in the Taller ECO
From options fundamentals to the complete ECO strategy, covering spreads, volatility, risk management and trading psychology.
Access to the entire strategy: entry and exit rules, market filters, position sizing and backtesting results with 20 years of real data.
Custom indicators that show you the trend signal, the volatility level and the entry traffic light so you know exactly when to trade.
Automatically calculates strikes, sizing, maximum risk, expected profit and ROC for every trade before you execute it.
Log every trade, track your win rate and cumulative P&L, and export everything to Excel for your own records.
The ECO strategy includes the version with European UCITS ETFs for investors trading under MiFID II regulation, with its own backtesting and results.
The curriculum, from zero to professional
11 modules and 54 video lessons, organized into 6 major blocks. Each lesson with its summary and its quiz to lock in what you've learned.
What an option is, calls and puts, underlyings, buyers vs sellers, the 4 basic trade types. The foundation you need for everything else.
How an option's price is formed, intrinsic vs time value, the Greeks explained without math and the ITM, ATM and OTM states.
Covered Calls, Cash Secured Puts, Debit Spreads and Credit Spreads. All the strategies you need to trade options professionally.
The VIX, IV Rank, market regimes and how to know exactly when to sell options and when to stay out.
The complete strategy: tactical allocation, options overlay, entry and exit rules, backtesting with 20 years of real data, ProRealTime indicators and interactive calculator.
Position sizing, drawdown control, the trader's psychological mistakes and a trading journal to measure your progress.
The workshop uses ProRealTime connected to Interactive Brokers. If you open your account through our link, you get special discounts that make the Complete platform practically free. The best market analysis and execution platform, within your reach.
Who is this workshop for?
What you do need
- Basic knowledge of the stock market
- Having already traded stocks (buying/selling)
- The drive to learn a professional trading approach
- Discipline to follow a system with clear rules
What you do NOT need
- Prior experience with financial options
- Advanced math knowledge
- Spending hours in front of the screen every day
- A huge amount of capital to get started
Most traders lose money because they trade without a system. The ECO is not a market opinion: it's a mechanical system with clear rules, statistical probability in your favor and 20 years of data behind it.
We don't predict the market. We collect premiums.
Not textbook theory: it's what I do with my own money
Options trader · founder of Campus Opciones
Everything I teach in the workshop is the same system I apply in my own trades. More about me.
All of this, for a fraction of its value
| The complete ECO method — 11 modules, 54 video lessons | 897€ |
| The ECO strategy with exact rules + 20-year backtest | 597€ |
| 3 ProRealTime indicators — for life (during the launch) | 588€ |
| ECO calculator (strikes, sizing, risk and ROC in one click) | 197€ |
| Trading journal + quizzes with per-lesson progress | 97€ |
| European UCITS version + strategy guide | 197€ |
| And on top of that, 5 launch extras (until July 31) | |
| BONUS3 months of "My Trades" — my real trades by email | 147€ |
| BONUSLive Q&A session — 1 per month for 3 months | 297€ |
| BONUSLifetime course updates | 197€ |
| BONUSPersonal review of your first real trade | 147€ |
| BONUSTrade-tracking template | 47€ |
| Total value | 3.408€ |
The amounts are a market reference value. Today, during the launch, you get it all for 449€.
30-day guarantee: the risk is on me
Go through the modules, apply the entry checklist and, if within 30 days you can't build your first spread with the risk defined in advance, I refund you 100% — and you keep the ECO calculator. All I ask is that you do the work.
The guarantee covers your learning, not the results of your trades. Investing in options carries a risk of loss.
The launch offer
Want the complete program, with mentoring, live sessions and a year of follow-up? That's the Academy — a new cohort opens in September, with limited spots. Join the waitlist and get in before anyone else.
Frequently Asked Questions
Do I need prior experience with financial options?
No. The Taller ECO starts from scratch: what an option is, what a call is, what a put is, how the Greeks work. You don't need any prior options knowledge. The only thing you need is to have already traded stocks and to have basic market knowledge.
How much capital do I need to apply the strategy?
A minimum capital of 10,000-15,000€ is recommended to apply the ECO strategy with proper diversification. With 5,000€ you can already start practicing with small positions. The workshop includes examples using different capital levels.
Which trading platform do I need?
The workshop uses ProRealTime connected to Interactive Brokers. If you open an account through our link, you get special discounts that make ProRealTime Complete practically free. It's the best platform-and-broker combination on the market.
How much time do I need to dedicate each month?
The ECO strategy is designed to be traded with minimal dedication. Rebalancing is monthly and the options trades require a weekly review. Just 2-3 hours a month is enough to manage the entire strategy. You don't need to be glued to the screen.
Are the ProRealTime indicators included?
Yes. When you buy the Taller ECO you get the 3 ProRealTime indicators: trend signal (ECO_Banda_SMA), volatility (ECO_Volatilidad) and entry traffic light (ECO_Semaforo_PCS), the same ones from the backtesting. During the launch they are yours for life; afterwards they will require a subscription.
Can I trade the strategy from Europe?
Yes. The workshop covers both the version with US ETFs (SPY, GLD, AGG) and with European UCITS ETFs (CSPX.L, IGLN.L, IUAG.L), which are the legal alternative for European retail investors under MiFID II regulation. The ECO EU strategy has its own backtesting results.
What results does the ECO strategy have?
The ECO strategy with US data (2007-2026) has achieved a CAGR of 11.03% with a maximum drawdown of -19.77%, versus -55.19% for SPY Buy & Hold over the same period (almost triple). The European UCITS version (2012-2026) returns 11.41% with just -15.39%. The results are from backtesting, and past performance does not guarantee future performance.
Is this day trading?
No. The ECO is a medium-term strategy. Options positions are opened with ~30-day expirations and the ETFs are held as long as the trend stays favorable. It doesn't require sitting in front of the screen during market sessions or making split-second decisions.
Is there a guarantee?
Yes, a 30-day guarantee. Go through the modules and apply the entry checklist; if within 30 days you can't build your first spread with the risk defined in advance, I refund you 100% and you keep the ECO calculator. The guarantee covers your learning, not the results of your trades (investing carries risk).
Can I see something before buying?
Yes. You have 4 full lessons open for free, with their video and their quiz, so you can see the level before deciding. You'll find them further up on this page, in the "See it yourself" section. No sign-up needed.
How do I access the workshop after purchase?
After completing payment you'll receive an email with immediate access to the complete workshop: the 11 modules, the calculator, the trading journal and the links to download the ProRealTime indicators. All the material is yours from the very first moment.
Start generating income with options
11 modules, 54 lessons, a complete strategy with 20 years of backtesting and your indicators for life.
Start today — 449€Launch offer until July 31 · then it goes up to 899€ · 30-day guarantee
Risk warning: Investing in the stock market and trading financial options carries risk. The backtesting results shown are historical, and past performance does not guarantee future performance. Make sure the information presented here fits your investment objectives, level of experience and risk tolerance. This information is educational and informational; it does not constitute financial advice or an investment recommendation.