Wiley trading the option trader handbook strategies and trade adjustments
Study Guide John J. Flash Boys Michael Lewis. The Rules of Wealth Richard Templar. Quality Investing Lawrence A. Other books in this series. Trend Following Michael W. Encyclopedia of Chart Patterns Thomas N. One Good Trade Mike Bellafiore. Following the Trend Andreas F. Naked Forex Alex Nekritin. Quantitative Trading Ernie Chan. Stock Market Wizards Jack D. Flap copy If you want to be a successful trader, you need to consistently improve your skills and never assume you know everything about the markets.
Following the same structure of the first edition, this updated guide delves deeper into the mechanics of option pricing and trade adjustments to provide you with a new perspective on the art and science of option trading. Designed for both intermediate and advanced traders, this book skillfully highlights numerous strategies for minimizing risk and volatility; discusses stock and option positions; and details the various types of trade adjustments that can be made, what situations are appropriate for each adjustment, and the best time to make those adjustments.
An unparalleled resource for today's volatile investment climate, this Second Edition features fresh material that will help you hedge or even boost profits, limit losses, and create risk-free trades. Page by page, it offers in-depth insights and expanded coverage on: The nature of Implied Volatility IV and how it can change with respect to the market as a whole and to individual stocks The "Greeks" and how they can be used to make better trading decisions and reduce risk Implementing more sophisticated option spreads and combinations Numerous charts and graphs that clearly demonstrate how each trade adjustment is done With even more tools and tips to improve your understanding of how options work and how to make better trading decisions, The Option Trader Handbook, Second Edition will become one of the most valuable assets in any trader's portfolio.
Table of contents Preface to the First Edition. Preface to the Second Edition. The Philosophy of Risk. Trading as a Business.
Option Greeks and Risk Management. Basic Spreads and Combinations. The Greeks and Spread Trades. Valuable Derivative Traders Program. Introduction to Trade Adjustments. Jabbour has published various articles in professional financial journals and regularly speaks at conferences in the United States and abroad regarding option pricing models, financial management, and risk management. Jabbour regularly conducts seminars in option trading and valuation, and is a very active equities and derivatives trader.
Budwick is a Managing Director of Global Asset Investments, LLC, an asset management and derivatives consulting firm, and is an active option and stock trader. He has a law degree and a master of science in finance and teaches classes in portfolio management.
Implementing these strategies requires more than just an understanding of the mechanics of trading, it requires ingenuity and imagination—as well as a comprehensive trading reference tool. Designed as a resource for intermediate to advanced traders, The Option Trader Handbook teaches both the science and the art of trade management, and offers numerous strategies and techniques for minimizing risk and volatility.
The authors, both recognized experts in the field, discuss stock and option positions and detail the various types of trade adjustments that can be made, what situations are appropriate for each adjustment, and the best time to make those adjustments. In a logical, sequential order, the authors cover the principles of risk and trade management as well as the tools required to put them into practice, weaving them all together with a proven formula for successful trading and portfolio management.
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