The Complete Book Of Option Spreads And Combinations

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The Complete Book Of Option Spreads And Combinations
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Author : Scott Nations
language : en
Publisher:
Release Date : 2014
The Complete Book Of Option Spreads And Combinations written by Scott Nations and has been published by this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014 with Business planning categories.
Get a handle on option spreads to hike profit and squash loss The Complete Book of Option Spreads and Combinations is the definitive educational resource and reference guide for using option spreads and other common sense option strategies. This useful guide shows readers how to select the right strategy for their market outlook and risk/reward comfort level by describing the inner workings of each strategy and how they are affected by underlying market movements, implied volatility, and time decay. Even more importantly, readers will understand where each strategy performs well, and the market conditions where each should be avoided. Once the proper strategy is selected, readers will learn how to identify the best options to use based on "moneyness" and time to expiration. The companion website features tools including an option pricing tool and implied volatility calculator to help all traders implement these concepts effectively. There are many different types of spreads, and while less risky than other option strategies in general, they are more complex, with more variables to monitor. This guide serves as a handbook for the trader wanting to exploit options to the greatest possible benefit. Generate monthly income by selling covered strangles Use call spreads to recover from a losing stock position Protect an existing stock position using put diagonals Discover the best strategies for directional market plays Option spreads are a great tool for traders who would rather be an option seller but who need to limit their risk. The Complete Book of Option Spreads and Combinations identifies those strategies that benefit from option erosion but that limit risk. If managed properly, spreads can provide both novice and experienced investors with the potential for a large return while limiting risk. Electronic trading platforms and reduced brokerage commissions have increased option spread trading, which should occupy a spot in every savvy investor's toolkit. Comprehensive and authoritative, The Complete Book of Option Spreads and Combinations provides a valuable manual and lasting reference.
The Complete Book Of Option Spreads And Combinations
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Author : Scott Nations
language : en
Publisher: John Wiley & Sons
Release Date : 2014-10-08
The Complete Book Of Option Spreads And Combinations written by Scott Nations and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-08 with Business & Economics categories.
Get a handle on option spreads to hike profit and squash loss The Complete Book of Option Spreads and Combinations is the definitive educational resource and reference guide for using option spreads and other common sense option strategies. This useful guide shows readers how to select the right strategy for their market outlook and risk/reward comfort level by describing the inner workings of each strategy and how they are affected by underlying market movements, implied volatility, and time decay. Even more importantly, readers will understand where each strategy performs well, and the market conditions where each should be avoided. Once the proper strategy is selected, readers will learn how to identify the best options to use based on "moneyness" and time to expiration. The companion website features tools including an option pricing tool and implied volatility calculator to help all traders implement these concepts effectively. There are many different types of spreads, and while less risky than other option strategies in general, they are more complex, with more variables to monitor. This guide serves as a handbook for the trader wanting to exploit options to the greatest possible benefit. Generate monthly income by selling covered strangles Use call spreads to recover from a losing stock position Protect an existing stock position using put diagonals Discover the best strategies for directional market plays Option spreads are a great tool for traders who would rather be an option seller but who need to limit their risk. The Complete Book of Option Spreads and Combinations identifies those strategies that benefit from option erosion but that limit risk. If managed properly, spreads can provide both novice and experienced investors with the potential for a large return while limiting risk. Electronic trading platforms and reduced brokerage commissions have increased option spread trading, which should occupy a spot in every savvy investor's toolkit. Comprehensive and authoritative, The Complete Book of Option Spreads and Combinations provides a valuable manual and lasting reference.
Options Math For Traders Website
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Author : Scott Nations
language : en
Publisher: John Wiley & Sons
Release Date : 2012-10-30
Options Math For Traders Website written by Scott Nations and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012-10-30 with Business & Economics categories.
A practical guide to the math behind options and how that knowledge can improve your trading performance No book on options can guarantee success, but if a trader understands and utilizes option math effectively, good things are going to happen. The idea behind Options Math for Traders + Website is to help retail option traders understand some of the basic tenants and enduring relationships of options, and option math, that professional and institutional traders rely on every day. This book skillfully highlights those strategies that are inherently superior from an option math point of view and explains what drives that superiority while also examining why some strategies are inherently inferior. The material is explained without complex equations or technical jargon. The goal is to give you a solid conceptual foundation of options behavior so you can make more informed decisions when choosing an option strategy for your market outlook. Topics covered include the volatility premium, because over time, options will cost more than they are ultimately worth; skew, wherein far out of the money put options may seem cheap from an absolute term, but are very expensive in relative terms; and the acceleration in option price erosion. The book also has a companion Website, which includes links to those sites that can scan for the best strategies discussed in the book. Explains, in a non-technical manner, the mathematical properties of options so that traders can better select the right options strategy for their market outlook Companion Website contains timely tools that allow you to continue to learn in a hands-on fashion long after closing the book Written by top options expert Scott Nations Most independent traders have an imperfect understanding of the math behind options pricing. With Options Math for Traders + Website as your guide, you'll gain valuable lessons in this area and discover how this information can improve your trading performance.
The Option Trader Handbook
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Author : George Jabbour
language : en
Publisher: John Wiley & Sons
Release Date : 2010-01-06
The Option Trader Handbook written by George Jabbour and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2010-01-06 with Business & Economics categories.
Strategies, tools, and solutions for minimizing risk and volatility in option trading An intermediate level trading book, The Option Trader Handbook, Second Edition provides serious traders with strategies for managing and adjusting their market positions. This Second Edition features new material on implied volatility; Delta and Theta, and how these measures can be used to make better trading decisions. The book presents the art of making trade adjustments in a logical sequence, starting with long and short stock positions; moving on to basic put and call positions; and finally discussing option spreads and combinations. Covers different types of underlying positions and discusses all the possible adjustments that can be made to that position Offers important insights into more complex option spreads and combinations A timely book for today's volatile markets Intended for both stock and option traders, this book will help you improve your overall trading skills and performance.
The Complete Book Of Option Spreads And Combinations Website
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Author : Scott Nations
language : en
Publisher: John Wiley & Sons
Release Date : 2014-10-13
The Complete Book Of Option Spreads And Combinations Website written by Scott Nations and has been published by John Wiley & Sons this book supported file pdf, txt, epub, kindle and other format this book has been release on 2014-10-13 with Business & Economics categories.
Get a handle on option spreads to hike profit and squash loss The Complete Book of Option Spreads and Combinations is the definitive educational resource and reference guide for using option spreads and other common sense option strategies. This useful guide shows readers how to select the right strategy for their market outlook and risk/reward comfort level by describing the inner workings of each strategy and how they are affected by underlying market movements, implied volatility, and time decay. Even more importantly, readers will understand where each strategy performs well, and the market conditions where each should be avoided. Once the proper strategy is selected, readers will learn how to identify the best options to use based on "moneyness" and time to expiration. The companion website features tools including an option pricing tool and implied volatility calculator to help all traders implement these concepts effectively. There are many different types of spreads, and while less risky than other option strategies in general, they are more complex, with more variables to monitor. This guide serves as a handbook for the trader wanting to exploit options to the greatest possible benefit. Generate monthly income by selling covered strangles Use call spreads to recover from a losing stock position Protect an existing stock position using put diagonals Discover the best strategies for directional market plays Option spreads are a great tool for traders who would rather be an option seller but who need to limit their risk. The Complete Book of Option Spreads and Combinations identifies those strategies that benefit from option erosion but that limit risk. If managed properly, spreads can provide both novice and experienced investors with the potential for a large return while limiting risk. Electronic trading platforms and reduced brokerage commissions have increased option spread trading, which should occupy a spot in every savvy investor's toolkit. Comprehensive and authoritative, The Complete Book of Option Spreads and Combinations provides a valuable manual and lasting reference.
Trading Options At Expiration
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Author : Jeff Augen
language : en
Publisher: FT Press
Release Date : 2009-03-04
Trading Options At Expiration written by Jeff Augen and has been published by FT Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2009-03-04 with Business & Economics categories.
Equity and index options expire on the third Friday of each month. As that moment approaches, unusual market forces create option price distortions, rarely understood by most investors. These distortions give rise to outstanding trading opportunities with enormous profit potential. In Trading Options at Expiration: Strategies and Models for Winning the Endgame, leading options trader Jeff Augen explores this extraordinary opportunity with never-before published statistical models, minute-by-minute pricing analysis, and optimized trading strategies that regularly deliver returns of 40%-300% per trade. You’ll learn how to structure positions that profit from end-of-contract price distortions with remarkably low risk. These strategies don’t rely on your ability to pick stocks or predict market direction and they only require one or two days of market exposure per month. Augen also discusses: · Three powerful end-of-cycle effects not comprehended by contemporary pricing models · Trading only one or two days each month and avoiding overnight exposure · Leveraging the surprising power of expiration-day pricing dynamics If you’re looking for an innovative new way to reignite your returns no matter where the markets move, you’ve found it in Trading Options at Expiration. “Learn and profit from Jeff Augen’s book: It clearly explains how to take advantage of market inefficiencies in collapsing implied volatility, effects of strike price, and time decay. A must-read for individuals who are options oriented.” --Ralph J. Acampora, CMT, Director of Technical Analysis Studies, New York Institute of Finance “A fantastic, insightful book full of meticulously compiled statistics about anomalies that surround option expiration. Not only does Augen present a set of effective trading strategies to capitalize on these anomalies, he walks through the performance of each across several expirations. His advice is practical and readily applicable: He outlines common pitfalls, gives guidance on timing your executions, and even includes code that can be used to perform the same calculations he does in the text. A thoroughly enjoyable read that will give you a true edge in your option trading.” --Alexis Goldstein, Vice President, Equity Derivatives Business Analyst “Mr. Augen makes a careful and systematic study of option prices at expiration. His translation of price behavior into trading strategy is intriguing work, and the level of detail is impressive.” --Dr. Robert Jennings, Professor of Finance, Indiana University Kelly School of Business “This book fills a gap in the vast amount of literature on derivatives trading and stands out for being extremely well written, clear, concise, and very low on jargon--perfect for traders looking to evolve their equity option strategies.” --Nazzaro Angelini, Principal, Spearpoint Capital “Instead of considering macro-time strategies that take weeks to unfold, Jeff Augen is thinking micro here--hours or days--specifically the days or hours right before expiration, and harnessing grinding, remorseless options decay for profit. He builds a compelling case for the strategy here. The concept of using ratio spreads plus risk management for as brief a period as one day--open to close--to capture expiring premium is worth the price of admission alone. A superb follow-up to his first book. Must-read for the serious options student.” --John A. Sarkett, Option Wizard software
Tools And Market Strategies For A Thriving Options Business The Option Trader S Income Blueprint Vol 4
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Author : Marco Colombo
language : en
Publisher: Marco Colombo
Release Date :
Tools And Market Strategies For A Thriving Options Business The Option Trader S Income Blueprint Vol 4 written by Marco Colombo and has been published by Marco Colombo this book supported file pdf, txt, epub, kindle and other format this book has been release on with Business & Economics categories.
Tools and Market Strategies for a Thriving Options Business Tools and Market Strategies for a Thriving Options Business, the fourth volume of The Option Trader's Income Blueprint series, takes your options trading journey to a new level by diving into the complexities of global markets and advanced strategies, and sophisticated risk management techniques. Key Topics Covered: - Global Option Markets and International Strategies: Dive into the intricacies of global options markets. You'll explore different market structures, learn how to implement international strategies, and understand the impact of global economic events on your trading decisions, enabling you to diversify your portfolio across borders. - Option Markets: Gain insights into the most liquid and efficient option markets. This section helps you estimate capital requirements and understand the nuances of trading in various markets, equipping you with the knowledge to make informed decisions. - ETFs with Embedded Option Strategies: Discover how ETFs with embedded options can enhance your trading strategies. You'll learn about the trade setups, benefits, and risks of these instruments, with real-world examples illustrating their application. - Seasonality and Cyclic Trends in Option Trading: Understanding seasonal and cyclical patterns is key to optimizing trading strategies. This chapter provides tools to analyze historical data, helping you develop strategies that capitalize on these recurring market patterns. - Economic Trends and Cyclicality: Explore the phases of economic cycles and their influence on options trading. By aligning your strategies with the current economic environment, you can navigate market complexities with greater precision. - Quantitative Techniques to Assess Seasonality: Master advanced quantitative techniques such as time series decomposition, Fourier analysis, regression analysis with seasonal dummies and SARIMA models. - Option Trading and Economic Indicators: Learn how key economic indicators like GDP, inflation, and unemployment impact options markets. Use this data to inform your trading strategies, aligning them with broader economic trends. - Tools and Resources for Option Traders: Get an overview of the essential tools and platforms that can enhance your trading experience. This includes brokers, trading platforms, educational resources, and market data providers, ensuring you have the right resources at your disposal. - Developing a Personal Trading Plan: A strong personal trading plan is crucial for success. This chapter walks you through the components of a comprehensive plan, offering examples and guidance on implementation. - Psychological Aspects of Options Trading: The psychological aspect of trading is often overlooked but is critical to success. Learn how to build mental resilience, overcome common psychological challenges, and develop a psychological trading plan. - Practical Hints to Successfully Start Your Option Trading Business: Finally, this chapter provides practical advice on starting your options trading business, covering capital requirements, position sizing, portfolio management, and expected returns. This volume combines detailed theoretical analysis with actionable practical insights. It is designed to cater to both expert traders looking to refine their strategies and individuals new to the field who seek a structured introduction to advanced options trading techniques. This book ensures that you are equipped to navigate the complexities of the options markets with confidence and precision. Begin your journey into global strategies and markets, and unlock the full potential of your trading capabilities in the world of options trading!
Unleash The Power Of Advanced Income Strategies The Option Trader S Income Blueprint Vol 2
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Author : Marco Colombo
language : en
Publisher: Marco Colombo
Release Date :
Unleash The Power Of Advanced Income Strategies The Option Trader S Income Blueprint Vol 2 written by Marco Colombo and has been published by Marco Colombo this book supported file pdf, txt, epub, kindle and other format this book has been release on with Business & Economics categories.
Unleash the Power of Advanced Income Strategies Welcome to the second volume of The Option Trader's Income Blueprint series — Unleash the Power of Advanced Income Strategies. This essential guide is tailored for traders ready to elevate their game in options trading by diving into advanced strategies and practical techniques. What You'll learn in this volume: - Advanced Income Strategies: Dive into sophisticated options trading techniques designed for optimal income generation. Explore vertical credit spreads for controlled premium collection, and master Iron Condors and Iron Butterflies to capitalize on low volatility environments. Delve into Ratio Spreads, Short Strangles, and Short Straddles to profit from stable markets, and understand the Collar strategy for balanced risk management. This comprehensive coverage equips you with advanced options trading strategies that align with your goal of financial freedom through options. - Stock Repair Strategy: Discover how to effectively use the Stock Repair Strategy to recover from losing positions without additional capital investment. This book provides a detailed step-by-step guide, adjustment techniques based on market conditions, and practical insights to help you utilize this powerful strategy for repairing stock trades and improving your stock market income. - The Wheel Strategy: Gain a thorough understanding of the Wheel Strategy, a systematic approach to income generation. This section offers a detailed guide on executing, adjusting, and managing this strategy with practical examples and insights into capital requirements. Learn how to optimize your income and manage risk effectively using this proven approach. - LEAPS Options – Leveraging Long-Term Potential: Explore Long-Term Equity Anticipation Securities (LEAPS) and their benefits for long-term leverage. Understand why LEAPS can be a superior choice over holding the underlying stock and how to integrate them into your options trading strategy for enhanced potential and profitability. - Alternative Wheel Strategies: Delve into advanced variations of the Wheel Strategy, including the use of credit spreads and ratio spreads. Learn how these modifications can improve your income generation, manage risk more effectively, and provide a more capital-efficient way to profit from options trading. Unleash the Power of Advanced Income Strategies is an expertly designed resource that integrates in-depth academic analysis with actionable trading techniques. Tailored for both experienced traders and those eager to enhance their expertise, this volume equips you with the essential tools and knowledge to refine your options trading strategies and achieve your financial objectives. Whether you’re seeking to develop options trading as a side hustle or aiming to make it your primary income source, this book delivers clear, practical guidance to help you maximize your trading success. Embark on the next stage of your trading journey and unlock advanced strategies to elevate your financial success and options trading performance!
Strategic Adjustments And Quantitative Risk Management The Option Trader S Income Blueprint Vol 3
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Author : Marco Colombo
language : en
Publisher: Marco Colombo
Release Date :
Strategic Adjustments And Quantitative Risk Management The Option Trader S Income Blueprint Vol 3 written by Marco Colombo and has been published by Marco Colombo this book supported file pdf, txt, epub, kindle and other format this book has been release on with Business & Economics categories.
Strategic Adjustments and Quantitative Risk Management Strategic Adjustments and Quantitative Risk Management, the third volume of the series The Option Trader's Income Blueprint, is an essential guide designed for traders ready to elevate their options trading by mastering sophisticated strategies and practical techniques focused on timing adjustments, margin and leverage use, and advanced risk management. What You'll master in this volume: - Timing Adjustments: The book provides an in-depth exploration of the crucial role of systematic adjustments in options trading. You'll gain an understanding of the importance of having a well-defined adjustment process, including how to determine the optimal timing for these adjustments based on quantitative analysis. The chapter also addresses the risks of over-adjusting and provides strategies to avoid common pitfalls, ensuring that your adjustments are beneficial to your trading outcomes. - Maximizing Returns With Prudent Use of Margin and Leverage: The book delves into the strategic use of margin and leverage to amplify returns in options trading. It begins with a detailed examination of margin concepts and explores the role of leverage in boosting potential profits. You’ll learn how to apply these tools profitably across various strategies while managing the associated risks. The insights provided will help you utilize margin and leverage effectively, ensuring that you maximize your returns without compromising financial stability. - Expectancy and Probability-Driven Capital Allocation Strategies: Capital allocation is at the heart of successful trading, and this section focuses on strategies driven by expectancy and probability. You’ll explore key concepts such as expectancy and expected loss, historical drawdown analysis, and option delta analysis. Additionally, the chapter covers historical return and volatility analysis and the use of Monte Carlo simulations to enhance your decision-making process. This rigorous quantitative analysis will enable you to optimize your capital allocation strategies effectively. - Advanced Risk Management and Mitigation: Risk management is essential for long-term trading success, and this chapter provides advanced techniques for identifying, assessing, and mitigating risks within your options trading portfolio. Topics include position sizing, portfolio diversification, and the use of stop-loss orders and protective puts. The chapter also explores the psychological aspects of risk management and provides practical guidance on developing a disciplined trading routine. Real-life examples illustrate how these risk management strategies can be applied effectively in practice. - Option Income Portfolio: This section focuses on the process of constructing and managing an option income portfolio. It highlights the importance of a well-structured approach and the role of diversification in boosting income potential. You’ll explore strategies for effective capital allocation, portfolio execution, and staying adaptable to changing market conditions. The discussion wraps up with practical insights on rebalancing the portfolio, offering a real-life example of building a balanced option income portfolio, showing how theoretical concepts can be applied to create actionable strategies. This volume is an indispensable resource for traders aiming to refine their options trading approach and optimize their financial outcomes. This book delivers the advanced knowledge and practical guidance needed to achieve greater success in your trading journey. Start by applying these sophisticated strategies and concepts and continue to unlock the full potential of options trading for your financial success!
Automated Option Trading
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Author : Sergey Izraylevich Ph.D.
language : en
Publisher: FT Press
Release Date : 2012-03-12
Automated Option Trading written by Sergey Izraylevich Ph.D. and has been published by FT Press this book supported file pdf, txt, epub, kindle and other format this book has been release on 2012-03-12 with Business & Economics categories.
The first and only book of its kind, Automated Options Trading describes a comprehensive, step-by-step process for creating automated options trading systems. Using the authors’ techniques, sophisticated traders can create powerful frameworks for the consistent, disciplined realization of well-defined, formalized, and carefully-tested trading strategies based on their specific requirements. Unlike other books on automated trading, this book focuses specifically on the unique requirements of options, reflecting philosophy, logic, quantitative tools, and valuation procedures that are completely different from those used in conventional automated trading algorithms. Every facet of the authors’ approach is optimized for options, including strategy development and optimization; capital allocation; risk management; performance measurement; back-testing and walk-forward analysis; and trade execution. The authors’ system reflects a continuous process of valuation, structuring and long-term management of investment portfolios (not just individual instruments), introducing systematic approaches for handling portfolios containing option combinations related to different underlying assets. With these techniques, it is finally possible to effectively automate options trading at the portfolio level. This book will be an indispensable resource for serious options traders working individually, in hedge funds, or in other institutions.