If you have experience in option trading, or a strong understanding of
the options markets, but want to better understand how to trade given
certain market conditions, this is the book for you. Many people have
some knowledge of trading strategies, but have no idea how to pull it
all together. Mark Sebastian’s latest book will teach trade
evaluation, using Greeks, trading various spreads under different
market conditions, portfolio-building, and risk management.
Sebastian’s approach will help traders understand how to find edge,
what kind of trade under what conditions will capture edge, and how to
create and successfully hedge to help you build your own personal
Goldman Sachs or Merrill Lynch. The book demonstrates how to structure
a portfolio of trades that makes more money with less risk. Click here
to watch the author's interviews with Fox Business and Nasdaq:
http://video.foxbusiness.com/v/5759956686001/
https://youtu.be/dOEJ118vMnA
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Profit from Options and Manage Risk Like the Professional Trading Firms
Produktdetaljer
ISBN
9781501505577
Publisert
2017
Utgave
1. utgave
Utgiver
Vendor
De Gruyter
Språk
Product language
Engelsk
Format
Product format
Digital bok
Forfatter