Option Trading Loss Recovery Strategies

Option Trading Loss Recovery Strategies PDF

Author: Michael C. Thomsett

Publisher: Pearson Education

Published: 2010-06-30

Total Pages: 29

ISBN-13: 0137084560

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How options can help you recover losses in stock investments you still want to keep. In volatile markets, inevitable paper losses tie up capital and prevent you from moving ahead. So what do you do? Do you just wait and hope the market price rebounds? Do you cut your losses and move your cash to more promising stocks? Or are there other choices? If you still consider the company a worthwhile investment, you can use options as part of a recovery strategy.

Commodity Options

Commodity Options PDF

Author: Carley Garner

Publisher: FT Press

Published: 2009-01-23

Total Pages: 288

ISBN-13: 0137154224

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Don’t Miss out on Today’s Hottest Trading Arena: Commodity Options! “The authors have written the definitive work on trading commodity options. Their in-depth knowledge of this subject is legendary among industry professionals and expert traders alike, and their ability to relay their knowledge through text, pictures, and the spoken word is unparalleled in our industry.” –Lan Turner, CEO, Gecko Software, Inc. “This book captures the realities of commodity option trading in a simple and easy- to-read presentation that will be beneficial for traders of all sizes and skill levels.” –Chris Jarvis, CFA, CMT, Caprock Risk Management, LLC “Even the most experienced investors often overlook the fact that options on futures are fundamentally different from options on stocks. This book fills that gap and sets the record straight with clear and concise descriptions that are easy to understand. Guaranteed to become a true source of value creation for anyone interested in trading commodity options.” –Jeff Augen, author, The Volatility Edge in Options Trading “Commodity Options arms readers with the strategies and tactics needed to take a more active approach to managing risk in today’s turbulent markets. The authors exhaustively break down every component of a commodity option to its lowest common denominator, making this book an essential piece of information for those looking to expand their trading tool box or further build on existing option strategies.” –John Netto, Chief Investment Strategist, NetBlack Capital and author, One Shot–One Kill Trading Investors worldwide are discovering the enormous opportunities available through commodity options trading. However, because commodities have differing underlying characteristics from equities, commodity ­options behave differently as well. In this book, two of the field’s most respected analysts present strategies built from the ground up for commodity options. Carley Garner and Paul Brittain begin with a quick primer on how commodity options work, how they evolved, and why conventional options strategies often fail in the commodity options markets. Next, using detailed examples based on their own extensive research, they show how to leverage the unique characteristics of commodity options in your own trades. You’ll walk through trades from “top to bottom,” master both long- and short-option approaches, and learn powerful strategies usually ignored in options books. For example, the authors introduce synthetic swing trading strategies that systematically reduce volatility from the market. This book’s easy-to-use trading strategies are strategically employed by the author’s clients every day: With Commodity Options, you can work to put the odds in your favor, too! • Why commodity options are different—and what it means to you Understand key differences in the underlying assets and the logistics of market execution • Systematically rewrite the odds in your favor Four ways to make winning trades more likely—and losing trades less common • When to trade short options—and how to manage the risk Why careful option selling may improve your odds of success • Master strategies designed for diverse market conditions Combine long and short options to create the right strategy for any market opportunity • Exploit short-lived trends through “synthetic” swing trading Get the advantages of futures contracts without the volatility

Options Trading Strategies

Options Trading Strategies PDF

Author: Stock Market Guru

Publisher: Stock Market Guru

Published:

Total Pages: 51

ISBN-13:

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Options Trading Strategies Options are great for novice and experienced investors, great for all investors who wish to expand their portfolios and make money in stock market.Learn profitable and powerful options trading strategies which will lower your risk and increase your profits in today's market. This book contains the following topics that will guide you through the path of Options Trading Strategy. Index Chapter 1 Introduction to Options Options defined The Importance of Learning Options The Difficult Side of Options Chapter 2a: Advantages of Options Trading Hedging and Speculation The Good and the Bad Sides of Options Trading Chapter 2b: Nature and Characteristics of Options Options Trading Parties What is Call Option? What is Put Option? The Variants of Option Option Trade Transacting versus Closing Out Option Pricing and How It is Done Chapter 3: Important Options Terms to Remember Strike Price Listed Option Premium Conversion Intrinsic Value Underlying Asset Chapter 4: Should I Buy Futures or Should I Buy Options? Buying Futures, Buying Options Buying Options: Short Term and Long Term Puts and Call – Buy Them but Don’t Sell Them Buying Puts How to Make Money when the Market is Falling Buying Puts for Surefire Gains Buying Calls Buying Calls to Profit From an Up Trend How to Profit when Buying Calls from a Bottoming Out Market Buying Futures Chapter 5: How to Trade F&Os in Several Market Conditions What It Means When You Buy in Wild Swings Buying When Risk Aversion is High Playing the Bull Market How to Play in the Bear Market Direction less Markets Playing Range Bound Markets Playing Intra day Moves Being a Compulsive Trader Trading a Falling Market Caused by Crazy Valuations Trading a Falling Market Caused by Negative News Trading a Rising Market Caused by Increasing Interest Selling Puts Amidst High Tendency of Risk Aversion Trading Accumulation and Distribution Chapter 6: Understanding the Golden Rules of F&O Trading Start by Having a Plan Each Single Stock is Not a Trade Don’t Buy a Mercedes if What You Can Afford is a Motorcycle! Set Your Trades to a Maximum Limit of Three at Any Single Time Don’t Trade Stocks That Have No Heavy Liquidity Trade According to the Trend The Value of Timing Trade the Body and not the Head of the Price Move Always Keep Track Of Your Emotions Learn the Value of Being Consistent and Disciplined Reality as Opposed to One’s Belief A Trade is Born out of Positive Expectation that is Backed by a Positive Trend Bread and Butter Money must be for Bread and Butter Alone Be Contrarian in Your Thinking and Not When You Go Trading Be Patient When You Find a Trade But Not When You Cut Losses Emotions versus F&O Trading The Value of Moderation in F&O Trading Having a Profit Then Going Out With a Loss When You Average a Loss in a Futures Position, You Are Simply Burning Money! Avoid Watching TV! The Unique Personality of Stock Futures and Options Getting Different Results Mean Doing Things Differently Trading Options Time Frame Buy Options in Low Cost/Premium Buy Options When a Stock, a Sector or the Market is Trending Very Strongly The Reality after Waking up from a Dream Open Interest – How Real Can It Be Understanding if the Option Price is Right So What is the Real Deal on Options Understanding How Options Really Work Calls and Puts Long and Short European and American Options Some Terminology Futures or Options?

Conservative Options Trading

Conservative Options Trading PDF

Author: Michael C. Thomsett

Publisher: Business Expert Press

Published: 2020-01-02

Total Pages: 142

ISBN-13: 1951527135

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The world of options is considered high-risk by many. At its original options treading in the modern era began in the early 1970s when the first listed calls were offered on a short list of companies; a few years later, put trading was added. Since this time, options trading has become available on most companies on the large public exchanges. However, the high-risk reputation of options has persisted through the years, even as dozens of new and often conservative strategies have been introduced. Today, the best use of options is not to speculate on price movement, but to hedge market risk in equity portfolios. Many strategies can combine hedging with income, establishing advantageous circumstances for risk-averse traders. It is possible to apply several strategies to reduce risk and in some instances, to eliminate market risk completely. This book examines the many ways this can be accomplished, based on options for three highly-rated companies. These are qualified as a first step by exceptionally attractive fundamental attributes and trends: Higher than average dividend yield with dividend increases over at least 10 years; a range of moderate price/earnings ratios each year; growing revenue, earnings and net return; and level or declining long-term debt as a percentage of total capitalization.

The 100% Return Options Trading Strategy

The 100% Return Options Trading Strategy PDF

Author: Jon Schiller

Publisher: CreateSpace

Published: 1999

Total Pages: 244

ISBN-13: 9780930233679

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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.'

The Option Trader Handbook

The Option Trader Handbook PDF

Author: George Jabbour

Publisher: John Wiley & Sons

Published: 2004-06-03

Total Pages: 354

ISBN-13: 047166829X

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Strategies, tools, and proven solutions for minimizing risk and volatility in option trading The Option Trader Handbook helps readers better understand trade management by providing a thorough compilation of the numerous trade adjustments, hedges, and enhancements that can be made to stock or option positions using derivatives. Dr. George Jabbour is the Director of the Master of Science in Finance (MSF) Program at The George Washington University as well as a professor of derivatives, financial engineering and investments. Dr. 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. He also is a managing director of Global Asset Investments, LLC, an asset management and derivative consulting firm, and CEO of Global Finance Associates, Inc., a financial training, consulting and research company. Dr. Jabbour regularly conducts seminars in option trading and valuation, and is a very active equity and derivative trader. Philip Budwick has a law degree and a Master of Science in Finance and frequently writes articles on option trading strategies and investments. Mr. Budwick is a managing director of Global Asset Investments, LLC and a managing member of Budwick InvestmentGroup, LLC, an option trading and investment software firm. He also conducts discussion groups and offers option investment training through Option Trading Coach, LLC and is an active option and stock trader.

Options Strategies for the Agile Investor (Collection)

Options Strategies for the Agile Investor (Collection) PDF

Author: Michael C. Thomsett

Publisher: Pearson Education

Published: 2010-12-07

Total Pages: 225

ISBN-13: 0132685639

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This is the eBook version of the printed book. 7 breakthrough options trading strategies – with everything you need to know to apply them! Seven options strategies every savvy trader needs to master — each presented concisely, with real-world guidance from a world-class expert! Discover powerful swing trading alternatives… strategies utilizing low risk-spreads… better ways to pick covered calls… how to compare investments through ranking analysis… how to use short puts and synthetic stock… even how to recover from losses! From world-renowned leaders and experts, including Michael Thomsett and Sergey Izraylevich

The Four Biggest Mistakes in Option Trading

The Four Biggest Mistakes in Option Trading PDF

Author: Jay Kaeppel

Publisher:

Published: 1998

Total Pages: 92

ISBN-13: 9781883272227

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Earn huge profits in options trading by avoiding the 4 most common - and most costly - mistakes the majority of traders make. System and software developer Jay Kaeppel shows you how to avoid the most common pitfalls option traders encounter that cause them to lose money in the long run. Now, become a more profitable trader by isolating the 4 most common mistakes. Learning why they're so common and easy to make. Discovering a simple strategy to avoid these mistakes altogether. Short and to the point - this is an action plan you can read quickly -and put into place immediately - to become a more profitable trader.---------------------------------------------------------------------------------------------Kaeppel beams a very bright light on 4 of the most common yet most difficult to overcome trading 'dont's'. In easy-to-understand terms he breaks down the problems and offers solutions. Keep this concise little gem near you at all times while trading.You can earn big profits in options trading by avoiding the 4 most common and most costly mistakes the majority of traders make. System and software developer Jay Kaeppel shows you how to avoid common pitfalls option traders encounter that cause them to lose money in the long run.In Kaeppel's quick reading style you'll . . .> Learn to isolate the 4 most common mistakes> See why they are so common and easy to make> And discover a simple strategy to avoidthese mistakes altogetherConcise and to-the-point here's an action plan you can read and put into place immediately to become a more profitable trader in no time.

Optioneering - Make $1000's in Extra Income Every Month

Optioneering - Make $1000's in Extra Income Every Month PDF

Author: Optioneering Ltd.

Publisher: Optioneering Ltd.

Published: 2015-03-30

Total Pages: 139

ISBN-13: 131015967X

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What is the Optioneering Strategy The Optioneering Strategy is an options trading strategy that was developed and perfected over the past 4 1/2 years. The options strategy finds its roots in market statistics and is designed to minimize risk. The fundamental difference between the Optioneering strategy and any other stock or options trading strategy available today is that the Optioneering Strategy is a "Reactive Strategy". Practically all stock picking and option trading strategies (books and websites) are focused on helping investors more accurately "predict" the direction of a stock or the underlying market. With the Optioneering Strategy you don't need to predict which way the market is going to go you just need to react to it. Trying to predict what a stock or the stock market will do tomorrow, next week or next hour is impossible for the average investor. The number of inputs that move the markets on a day to day, hour by hour, minute by minute time frame are impossible to comprehend. Earnings, politics, economic data, geopolitical news, weather, terrorism, commodities, interest rates, the Fed, etc all move the markets. How can anyone possibly predict where the market will go next week, next month or next year with all these variables? Well some people out there claim they can. The spectrum is broad form charlatans who operate websites making ridiculous claims to professional financial advisers. Lets reflect on this for a moment. If you am ill, you see your doctor, you expect with a high degree of confidence that he/she will come to a diagnosis that is accurate and prescribe the necessary medication to see that you get better. How can a financial adviser "diagnose" the markets, a disease with constantly changing symptoms. They may claim they can but I would bet statistically they are no better than flipping a coin. Safety First A key objective of the Optioneering Strategy is to minimize risk. A strategy whereby if a loss were to occur it would not wipe out months of profit or wipe us out completely like so many other option strategies. The basic strategy is founded on establishing setup positions each month that generate a profit consistently. The setups involve a combination of debit calendar spreads and reverse credit calendar spreads. There are 7 basic rules, 4 on setup and 3 for closing. If you follow the rules losses will remain small and profits will be maximized. A lot of other books on option strategies will tell you how the strategies work but they won't tell you how to consistently generate profits by applying them. They still require you to correctly "bet" on market direction. Applying standard option trading strategies in a predictive manner is no better than flipping a coin and runs the risk of generating large losses. Minimal Capital I started with $20,000, but one could easily get started with as little as $5000 to $10,000. The Optioneering Strategy is structured to minimized risk and margin. It is a brilliantly leveraged, yet a well hedged strategy that generates a profit 84% of the time. Over 4 1/2 years I grew $20,000 to over $200,000. During that period I placed 44 trade set ups of which 37 generated a profit and 7 resulted in a loss. The average or 37 monthly profits was $5,350 and the average of 7 monthly losses was $1950. Minimal Time Invested Other than making money saving time is the second best part of the strategy. Most days I spend 1 to 2 minutes a day just checking the market. Really just keeping an eye on it in the event I need to "react" to the market action. On my setup days it takes me about 10 minutes to get my order in and set. That's it! Minimal time invested. I don't need to know the news that drives the market and I don't really care. I only need to react to the market if it moves to prescribed limits we establish with each setup trade. "Getting time back is the best part of the Optioneering Strategy. I can focus on work and spend more time with my family" Less Stress and Anxiety With the Optioneering Strategy you place the exact same type of trades every month at the same time, regardless of what the market has done or is doing. There are a total of 7 rules to follow and they guide you on setting up the trade and exiting the trade. Investment stress and anxiety are rooted in trying to decide if you should buy, sell or hold your positions. With the Optioneering Strategy there is none of that as you have certainly in what to do when entering and exiting every trade. Getting Started Whether you are familiar with options or not the Optioneering Strategy is written with the novice in mind. Not only will it inform you of what you need to know but walks you through every trade placed over the past 4 1/2 years. Every trade contains a chart, historic options chain data and commentary on every trade. The Optioneering Strategy allows you to take control of your financial future. That's what I did and I'm now sharing this experience with you.