The Wheel Options Trading Strategy
Author : Markus Heitkoetter
Publisher :
Page : pages
File Size : 15,61 MB
Release : 2020-12
Category :
ISBN : 9781736082904
Author : Markus Heitkoetter
Publisher :
Page : pages
File Size : 15,61 MB
Release : 2020-12
Category :
ISBN : 9781736082904
Author : Jon Schiller
Publisher : CreateSpace
Page : 244 pages
File Size : 17,29 MB
Release : 1999
Category : Business & Economics
ISBN : 9780930233679
The author asserts that options trading can yield high rewards for little risk. In this guide to options trading he explains how to carry out such procedures and has designed the book to be of interest to both newcomers and seasoned traders.'
Author : David Bunney
Publisher : 42 Publishing
Page : 119 pages
File Size : 13,52 MB
Release : 2021-07-15
Category : Business & Economics
ISBN : 0987440691
This eBook ‘Best Option Strategy Ever’ 10 Years Edition Proof of Method; showcases Options Trading results spanning 2011 to 2021. It even includes 18 monthly trades through the difficult COVID period as evidence of this robust, yet simple trading method. This Special Edition demonstrates that profit would be generated if this one options trading method was applied at any time during these 10 years. The BOSE Method™ is truly unique and defies the usual labels. David Bunney has included an actual snapshot case study of eight popular stocks in January of 2015 and 2017 and 2020. Further proof this works regardless of market conditions. He has also included in the book feedback and comments from countless success testimonies and answers the frequently asked questions. The BOSE Method™ requires no software, memberships or subscriptions and can be paper traded or simulated first to prove results. It works on the fact that the sum of smaller parts is always greater than the whole. I know you’re thinking you must have seen a variation of this BOSE Method™ somewhere, but no you have not. Large account Fund Managers do things very differently and often use this method ensuring considerably less risk than the average punter. Yet this same method can be used on smaller accounts. This one option trading method has stood the test of time and online scrutiny for over 10 years and continues to be the little-known Best Option Strategy Ever.
Author : Markus Heitkoetter
Publisher :
Page : 156 pages
File Size : 41,56 MB
Release : 2019-04-02
Category : Business & Economics
ISBN : 9780692048597
How to Trade Stocks and Options in Only 15 Minutes a Day using Rockwell Trading's proven PowerX Strategy.
Author : Dennis A. Chen
Publisher : FT Press
Page : 240 pages
File Size : 47,53 MB
Release : 2012-05-18
Category : Business & Economics
ISBN : 0132823411
In this book, a hedge fund manager and an option trading coach show you how to earn steady, reliable income selling options by managing your option trades and running your option portfolio as a real business with consistent, steady returns. Packed with real-world examples, the authors show you how to manage your own “one man” hedge fund and make consistent profits from selling options by applying the basic framework and fundamental business model and principles of an “insurance company”. This framework helps you to apply your option trading strategy to a solid, predictable, business model with consistent returns. For someone who has some knowledge of trading options and wants to become a consistent income earner. The authors provide a complete “operations manual” for setting up your business. Gain pearls of wisdom from both a professional options trader and coach, and from a hedge fund manager focused on managing an options based portfolio.
Author : Simon Vine
Publisher : John Wiley & Sons
Page : 271 pages
File Size : 21,40 MB
Release : 2011-08-24
Category : Business & Economics
ISBN : 1118160967
The key concepts and essential strategies behind the successful use of options Written by Simon Vine, a seasoned trader who has over ten years of experience on Wall Street under his belt, Options is the definitive book on options for traders, investors, and risk professionals. Options provides a step-by-step approach to trading, hedging, and investing using options, and shares the key concepts essential to successful options use. Options also explores how to use a wide variety of options strategies and shows readers how to select the strategy that best fits their own psychological risk profile. Filled with real-world examples and proven strategies, this invaluable resource will be of interest to all professionals-and newcomers-who'd like to exploit options for strategic advantage, risk management, or profit. Simon Vine (Moscow, Russia) is deputy head of the investment banking division at Alfa Bank, the largest private financial institution in Russia. He holds an MBA from Columbia Business School and a BA from the Institute for Finance and Economics in Moscow.
Author : Frank Richmond
Publisher : Independently Published
Page : 84 pages
File Size : 10,15 MB
Release : 2018-01-04
Category : Business & Economics
ISBN : 9781976802409
Do You Want to Know How to Trade Your Way to Success on the Options Market? For a beginner, the options market is incomprehensible. All that jargon, all those calculations - it's a hard game to break into and even harder to get right from the start. On the other hand, learning the ropes opens the door to an exciting new way to calculate risk, find the right investments and ultimately make your bank balance happy. This book is here to teach you how to understand the options market from scratch. By the time you finish reading, you'll know exactly how to navigate your choices - and how to make them with wisdom. Let's Get Started With Option Trading! Options trading is all about understanding what lies beneath the market and this guide will walk you through that exciting process. Give it ONE WEEK and you'll TRIPLE your chances of making a profit on the options market. Give it a month and you'll see you're not just confident enough to make investments at will, you're doing so in the right way to make a tidy deposit into your trading account. In this book, we'll cover: · The types of trade and how each one can bring you a profit. · Strategies to make the very best use of your investment capital. · How to see patterns in the market, how to spot great investments - and how to make money. · And much, MUCH more. If You Don't Read This Guide, You Risk LOSING YOUR LIFE SAVINGS on the Options Market These methods has been proven to work - a hundred times over. This book will show you that understanding the basic principles of the options market is not nearly so unfathomable as it appeared from a distance. All it takes is a few easy steps and you'll start to feel a difference within a few short days - and all for less than the cost of a pocket calculator. See the Difference in Less Than a Week... or Your Money Back! If you follow the chapters in this guide and you find they don't work (not gonna happen) or you feel like they're not for you, simply click one button within 7 days and Amazon will return 100% of your money. That's how confident I am the answer to your problem is found inside - You will learn how to successfully trade options. Just scroll up now and click the BUY NOW button to start making a profit, today!
Author : Larry E. Swedroe
Publisher : Macmillan + ORM
Page : 197 pages
File Size : 15,94 MB
Release : 2005-01-01
Category : Business & Economics
ISBN : 1429972955
Investment professional Larry E. Swedroe describes the crucial difference between "active" and "passive" mutual funds, and tells you how you can win the investment game through long-term investments in such indexes as the S&P 500 instead of through the active buying and selling of stocks. A revised and updated edition of an investment classic, The Only Guide to a Winning Investment Strategy You'll Ever Need remains clear, understandable, and effective. This edition contains a new chapter comparing index funds, ETFs, and passive asset class funds, an expanded section on portfolio care and maintenance, the addition of Swedroe's 15 Rules of Prudent Investing, and much more. In clear language, Swedroe shows how the newer index mutual funds out-earn, out-perform, and out-compound the older funds, and how to select a balance "passive" portfolio for the long hail that will repay you many times over. This indispensable book also provides you with valuable information about: - The efficiency of markets today - The five factors that determine expected returns of a balanced equity and fixed income portfolio - Important facts about volatility, return, and risk - Six steps to building a diversified portfolio using Modern Portfolio Theory - Implementing the winning strategy - and more.
Author : John C. Hull
Publisher : Prentice Hall
Page : 561 pages
File Size : 38,13 MB
Release : 2007-05-29
Category : Futures market
ISBN : 9780131354180
This new edition presents a reader-friendly textbook with lots of numerical examples and accounts of real-life situations.
Author : Euan Sinclair
Publisher : John Wiley & Sons
Page : 228 pages
File Size : 49,31 MB
Release : 2008-06-23
Category : Business & Economics
ISBN : 0470181990
In Volatility Trading, Sinclair offers you a quantitative model for measuring volatility in order to gain an edge in your everyday option trading endeavors. With an accessible, straightforward approach. He guides traders through the basics of option pricing, volatility measurement, hedging, money management, and trade evaluation. In addition, Sinclair explains the often-overlooked psychological aspects of trading, revealing both how behavioral psychology can create market conditions traders can take advantage of-and how it can lead them astray. Psychological biases, he asserts, are probably the drivers behind most sources of edge available to a volatility trader. Your goal, Sinclair explains, must be clearly defined and easily expressed-if you cannot explain it in one sentence, you probably aren't completely clear about what it is. The same applies to your statistical edge. If you do not know exactly what your edge is, you shouldn't trade. He shows how, in addition to the numerical evaluation of a potential trade, you should be able to identify and evaluate the reason why implied volatility is priced where it is, that is, why an edge exists. This means it is also necessary to be on top of recent news stories, sector trends, and behavioral psychology. Finally, Sinclair underscores why trades need to be sized correctly, which means that each trade is evaluated according to its projected return and risk in the overall context of your goals. As the author concludes, while we also need to pay attention to seemingly mundane things like having good execution software, a comfortable office, and getting enough sleep, it is knowledge that is the ultimate source of edge. So, all else being equal, the trader with the greater knowledge will be the more successful. This book, and its companion CD-ROM, will provide that knowledge. The CD-ROM includes spreadsheets designed to help you forecast volatility and evaluate trades together with simulation engines.