Options Installment Strategies

Long-Term Spreads for Profiting from Time Decay

Business & Finance, Industries & Professions, Insurance, Finance & Investing, Investments & Securities
Cover of the book Options Installment Strategies by Michael C. Thomsett, Springer International Publishing
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Author: Michael C. Thomsett ISBN: 9783319998640
Publisher: Springer International Publishing Publication: December 18, 2018
Imprint: Palgrave Macmillan Language: English
Author: Michael C. Thomsett
ISBN: 9783319998640
Publisher: Springer International Publishing
Publication: December 18, 2018
Imprint: Palgrave Macmillan
Language: English

An “installment strategy” in its most basic form, combines two options, one long-term position and one short-term. This strategy is designed as a conservative, no-cost method to either eliminate risk for future trading when stock is owned; or to fix the price for a future purchase of the underlying security.

Portfolio managers and experienced individual traders face a chronic problem – risk versus time. This goes beyond the well-known time decay of options and expands to the ever-present market risk to an underlying security. How do you execute a successful, conservative strategy and eliminate or reduce market risk?

In this book, a range of effective and creative strategies set out a conservative hedging system.  This involves the combination of long-term long positions offset by short-term short positions in various configurations. Options Installment Strategies presents variations on the well-known calendar spread and demonstrates how specific strategies work well in short-term swings and even during extended periods of consolidation.

View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart

An “installment strategy” in its most basic form, combines two options, one long-term position and one short-term. This strategy is designed as a conservative, no-cost method to either eliminate risk for future trading when stock is owned; or to fix the price for a future purchase of the underlying security.

Portfolio managers and experienced individual traders face a chronic problem – risk versus time. This goes beyond the well-known time decay of options and expands to the ever-present market risk to an underlying security. How do you execute a successful, conservative strategy and eliminate or reduce market risk?

In this book, a range of effective and creative strategies set out a conservative hedging system.  This involves the combination of long-term long positions offset by short-term short positions in various configurations. Options Installment Strategies presents variations on the well-known calendar spread and demonstrates how specific strategies work well in short-term swings and even during extended periods of consolidation.

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