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Sinopsis

Mastering Options: A Comprehensive Guide to Profitable Trading Strategies BY Lalit Mohanty

This book provides a comprehensive guide to understanding and implementing various option trading strategies, catering to both novice and experienced traders. Each chapter is designed to equip readers with the knowledge and skills needed to navigate different market conditions and enhance their proficiency in options trading.

Introduction: Unlocking the Power of Options Trading

Chapter 1: Understanding Options Basics

The fundamentals of options: calls and puts
Option pricing and the Greeks (Delta, Gamma, Theta, Vega)
In-the-money, at-the-money, and out-of-the-money options
Chapter 2: Long Call Strategy: Riding the Bull

How to use long call options for bullish market expectations
Risk and reward analysis
Selecting the right strike price and expiration date
Chapter 3: Long Put Strategy: Profiting from the Bear

Utilizing long put options for bearish market predictions
Managing risk through position sizing and timing
Choosing the appropriate strike price and expiration date
Chapter 4: Covered Call Strategy: Income Generation with Safety Nets

Writing covered calls to generate income
Balancing risk and return
Adjusting positions based on market conditions
Chapter 5: Protective Put Strategy: Safeguarding Your Investments

Hedging with protective puts to limit downside risk
Building a protective put strategy around existing stock positions
Practical examples and case studies
Chapter 6: Long Straddle Strategy: Profiting from Market Volatility

Employing long straddles to capitalize on price volatility
Calculating breakeven points and potential gains
Adjusting the strategy for changing market conditions
Chapter 7: Credit Spread Strategy: Time Decay for Income

Creating credit spreads to take advantage of time decay
Balancing risk and reward in credit spread positions
Adjusting positions as expiration approaches
Chapter 8: Iron Condor Strategy: Navigating Sideways Markets

Constructing iron condors to profit in range-bound markets
Managing risk through proper position sizing and adjustment techniques
Real-world examples of successful iron condor trades
Chapter 9: Butterfly Spread Strategy: Capitalizing on Low Volatility

Utilizing butterfly spreads for low volatility environments
Adjusting the strategy for different market conditions
Risk management and profit potential in butterfly spreads
Chapter 10: Ratio Spread Strategy: Leveraging Risk and Reward

Implementing ratio spreads for asymmetric risk-reward profiles
Selecting the right ratio for specific market expectations
Dynamic adjustments to optimize the strategy's performance
Conclusion: Crafting Your Options Trading Journey

Appendix: Advanced Concepts and Strategies

Exploring advanced options strategies
Using options in conjunction with other financial instruments
Risk management techniques for advanced traders
Glossary

Key terms and definitions for quick reference
Resources

Additional reading, online courses, and tools for further learning

"Sinopsis" puede pertenecer a otra edición de este libro.

  • EditorialIndependently published
  • Año de publicación2023
  • ISBN 13 9798871593028
  • EncuadernaciónTapa blanda
  • IdiomaInglés
  • Número de páginas80
  • Contacto del fabricanteno disponible

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Mohanty, Mr. Lalit Prasad
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Paperback. Condición: new. Paperback. Mastering Options: A Comprehensive Guide to Profitable Trading Strategies BY Lalit Mohanty This book provides a comprehensive guide to understanding and implementing various option trading strategies, catering to both novice and experienced traders. Each chapter is designed to equip readers with the knowledge and skills needed to navigate different market conditions and enhance their proficiency in options trading. Introduction: Unlocking the Power of Options Trading Chapter 1: Understanding Options Basics The fundamentals of options: calls and putsOption pricing and the Greeks (Delta, Gamma, Theta, Vega)In-the-money, at-the-money, and out-of-the-money optionsChapter 2: Long Call Strategy: Riding the Bull How to use long call options for bullish market expectationsRisk and reward analysisSelecting the right strike price and expiration dateChapter 3: Long Put Strategy: Profiting from the Bear Utilizing long put options for bearish market predictionsManaging risk through position sizing and timingChoosing the appropriate strike price and expiration dateChapter 4: Covered Call Strategy: Income Generation with Safety Nets Writing covered calls to generate incomeBalancing risk and returnAdjusting positions based on market conditionsChapter 5: Protective Put Strategy: Safeguarding Your Investments Hedging with protective puts to limit downside riskBuilding a protective put strategy around existing stock positionsPractical examples and case studiesChapter 6: Long Straddle Strategy: Profiting from Market Volatility Employing long straddles to capitalize on price volatilityCalculating breakeven points and potential gainsAdjusting the strategy for changing market conditionsChapter 7: Credit Spread Strategy: Time Decay for Income Creating credit spreads to take advantage of time decayBalancing risk and reward in credit spread positionsAdjusting positions as expiration approachesChapter 8: Iron Condor Strategy: Navigating Sideways Markets Constructing iron condors to profit in range-bound marketsManaging risk through proper position sizing and adjustment techniquesReal-world examples of successful iron condor tradesChapter 9: Butterfly Spread Strategy: Capitalizing on Low Volatility Utilizing butterfly spreads for low volatility environmentsAdjusting the strategy for different market conditionsRisk management and profit potential in butterfly spreadsChapter 10: Ratio Spread Strategy: Leveraging Risk and Reward Implementing ratio spreads for asymmetric risk-reward profilesSelecting the right ratio for specific market expectationsDynamic adjustments to optimize the strategy's performanceConclusion: Crafting Your Options Trading Journey Appendix: Advanced Concepts and Strategies Exploring advanced options strategiesUsing options in conjunction with other financial instrumentsRisk management techniques for advanced tradersGlossary Key terms and definitions for quick referenceResources Additional reading, online courses, and tools for further learning Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. Nº de ref. del artículo: 9798871593028

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