Trading and Investing in Bond Options

Trading and Investing in Bond Options

Author: M. Anthony Wong

Publisher: John Wiley & Sons

Published: 1991-09-03

Total Pages: 318

ISBN-13: 9780471525608

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To become successful in the bond options market, it is important for professionals to gain a basic, yet thorough understanding of how options are priced, traded, and used in interest-rate risk and fixed-income portfolio management. Provides practical answers to questions that new participants will ask as they become more sophisticated in the bond option market. It describes the U.S. government bond options markets and discusses how options pricing and computer technologies are used in market-making, strategic trading, and value investing. After introducing standard options terminology, it provides background data on U.S. Treasury bonds, bond options pricing models, advanced pricing models, the fundamentals of bond options dealing, strategies driven by interest rate forecasts, the most widely used structured portfolio strategies involving options, and more.


Stocks, Bonds, Options, Futures

Stocks, Bonds, Options, Futures

Author: New York Institute of Finance

Publisher: Prentice Hall

Published: 1987

Total Pages: 360

ISBN-13:

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From arbitrage to zero-coupon bonds, this all-inclusive guide explains the fundamentals of investments and their markets. Covers how broker/dealer firms function, option trading, technical and fundamental futures, exchange and over-the-counter transactions, and more.


Stocks, Bonds, Options, Futures

Stocks, Bonds, Options, Futures

Author: New York Institute of Finance

Publisher: Prentice Hall Press

Published: 1987

Total Pages: 332

ISBN-13: 9780138473693

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A guide to the basics of the securities industry and the functions of Wall Street discusses common stock, transactions, bonds, options trading, mutual funds, and regulations of the securities markets


The Bond Market

The Bond Market

Author: Christina I. Ray

Publisher: McGraw-Hill Trade

Published: 1993

Total Pages: 600

ISBN-13:

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Corporate and federal debt has increased over 350% in the last four years, accompanied by an explosion in the use of complex derivative products. To cope with this new market, fixed income traders - and the tools and techniques they use - have become increasingly sophisticated. There is an urgent need for a high-quality reference book on managing interest rate risk and on the primary and secondary markets for the outstanding bonds worth trillions of dollars. The Bond Market is a thorough guide to the mechanics of the market for U.S. Treasury securities and their derivative products. It explains the art and science of trading bonds for maximum profit with controlled risk, and illustrates how the best traders apply sound theoretical techniques under battlefield conditions. This is a valuable resource for readers with no prior knowledge of the bond market, as well as those who want to enhance their understanding of bond theory with real-life trading tools and techniques. The Bond Market looks at the big picture while focusing on important details. Based on her extensive trading experience, Christina I. Ray covers bond market basics and bond trading strategies, and provides an overview of the bond trading business. This one-of-a-kind reference shows readers how traders use mathematics to construct positions, in bonds or their derivatives, suitable for different market conditions and their own market risks; how traders determine the value of different securities and answers the critical question: Is bond movement random or can it be forecast? and the consistent approaches used by long-lived traders that readers can apply quantitatively to analyze the risk-reward profile of any position.


Stocks, Bonds, Options, Futures 2nd Edition

Stocks, Bonds, Options, Futures 2nd Edition

Author: Stuart R. Veale

Publisher: Penguin

Published: 2001-01-01

Total Pages: 353

ISBN-13: 0735201757

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This guide to the securities markets has helped thousands of financial professionals as well as individual investors, both experienced and novice, invest in the securities markets with confidence. Now completely revised and expanded to reflect the evolving investment realities of a new millennium, this invaluable guide covers all of your investment options. Stuart Veale offers concise summaries of money market instruments, U.S. treasury securities, bonds, mortgage-backed securities, and stocks, plus the latest information or derivative instruments such as futures contracts, swap contracts, options contracts, and security indices. Stocks, Bonds, Options, Futures compares various methods of analyzing stocks—top down, bottom up, technical, and walk around—and gives you all the tools you need to create a balanced portfolio that maximizes returns and minimizes risk. Filled with informative charts and graphics, plus website listings for additional research and technical tools, Stocks, Bonds, Options, Futures, Second Edition is your guide to the radically changed world of 21st-century securities.


Treasury Bonds Vs. Options Trading

Treasury Bonds Vs. Options Trading

Author: Joshua King

Publisher: Independently Published

Published: 2023-10-27

Total Pages: 0

ISBN-13:

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Why in the world would I compare risk-free assets to risky investments? Because average people can use both of these investment vehicles to reach their goals. Treasury Bonds are great assets to protect capital, use in emergency funds, and assist with savings goals. However, they won't save us from the expenses of the future. We need to generate steady yet high returns to save for college, purchase more homes, and start a business. We can use the discipline we learned while buying Treasuries on the options market. We can consistently earn 10% monthly on our invested capital without taking too much risk. Options trading and treasures should both hold a place inside our portfolios-if we can control our emotions. Leveraging them both can protect our present and our future. Good Luck!


The Management of Bond Investments and Trading of Debt

The Management of Bond Investments and Trading of Debt

Author: Dimitris N. Chorafas

Publisher: Elsevier

Published: 2005-06-07

Total Pages: 377

ISBN-13: 0080497284

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Written for managers and professionals in business and industry, and using a minimum of mathematical language, The Management of Bond Investments and the Trading of Debt addresses three key issues: - Bondholder's options, risks and rewards in making investments in debt instruments; - The dynamics of inflation, and how they affect both trading in the bond market, and investment decisions; and - The democratization of lending, socialization of risk, and effect of the global economy on the bond market.Financial expert Dimitris Chorafas discusses these issues in straightforward language for managers and professionals in commercial banks, securities houses, financial services companies, merchandising firms, manufacturing companies, and consulting firms, placing the mathematical treatment of the issues in the appendices, available for study but not necessary for understanding the business issues addressed in the book. - Focuses on new issues of central importance in bond and debt trading today - Uses clear, straightforward language for managers and professionals in business and industry, with mathematical treatment provided in appendices - Thorough treatment of operational risk new to books on this topic


HIGH YIELD BONDS

HIGH YIELD BONDS

Author: Mark Shenkman

Publisher: McGraw Hill Professional

Published: 1999

Total Pages: 614

ISBN-13: 9780071376969

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HIGH-YIELD BONDS provides state-of-the-art research, strategies, and toolsÑalongside the expert analysis of respected authorities including Edward Altman of New York UniversityÕs Salomon Center, Lea Carty of MoodyÕs Investor Service, Sam DeRosa-Farag of Donaldson, Lufkin & Jenrette, Martin Fridson of Merrill Lynch & Company, Stuart Gilson of Harvard University, Robert Kricheff of CS First Boston, and Frank Reilly of the University of Notre DameÑto help you truly understand todayÕs high-yield market. For added value and ease of reference, this high-level one-volume encyclopedia is divided into seven sections detailing virtually every aspect of high-yield bond investment. They include: Market structureÑThe role of investment banks in security innovation and market development, evolution of analytical methodologies, and recent leveraged loan market developments; Security risk analysisÑHistorical bond default rates, real interest rate and default rate relationships, and new simulation methodologies for modeling credit quality; Security valuationÑImpact of seniority and security on bond pricing and return, important trading factors, and a Monte Carlo simulation methodology for valuing bonds and options in the context of correlated interest rate and credit risk; Market valuation modelsÑEconometric studies which detail the importance of monetary influences, risk-free interest rates, default rates, mutual fund flows, and seasonal fluctuations; Portfolio managementÑHistorical perspective and comparison to alternative investments, analysis of indices available to investors, and specific portfolio selection and risk management strategies of professional fund managers; Distressed security investingÑHistorical risk and return information, plus an academic overview of the market and decision criteria for uncovering and investing in securities with higher-than-average risk-adjusted returns; Corporate finance considerationsÑEmerging firmsÕ strategic choice between external debt and equity financing, as well as the choice of issuing public versus private (Rule-144a) securities. HIGH-YIELD BONDS provides extensive coverage of bond valuation and the construction and management of high-yield portfolios. Advanced Monte Carlo simulation models for the valuation of bonds and options on bonds as well as risk assessments on portfolios of bonds under conditions of correlated interest rate and credit risk are demonstrated. In todayÕs explosive environment of multiple new issues and high risk versus return relationships, it is paramount that you get advice from analysts and experts who have been influential in shaping and defining the market. HIGH-YIELD BONDS will provide you with a valuable reference to this fascinating and constantly changing class of securities, helping you assemble a stable, diversified portfolio of fixed income investments that provides the greatest returns and the lowest risks.


Options Trading for Beginners

Options Trading for Beginners

Author: Rich Bond

Publisher: Charlie Creative Lab

Published: 2020-10-15

Total Pages: 116

ISBN-13: 9781801124898

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Do you want more money in your pocket for smaller investment? Do you want to make a lot more profit, for a lot less outlay and risking a lot less? Then you must understand how the options works! Trading on the stock market can be a complicated business with as much potential for loss as gain. Options are no exception and thus are most viable in the hands of a practiced and accomplished trader. However, the investor who learns to use stock options to his or her advantage will be in a well-placed position when they incur what is known as risk capital, which are securities that are high risk but may also yield huge amounts of profit. This can be accomplished by using stock options to purchase an underlying asset Options trading is a speculation vehicle for experienced financial specialists, who track their ventures proactively. It's anything but a suitable car for financial specialists hoping to keep up resources without direct administration, as it's mainly a planning related buy and buoy. Options trading is a superb procedure for utilizing money related influence to make more fabulous buys. This Book Covers: What is Options Trading What is Options Contract Understanding of Options Strike Price How to Start The Purchase of Options Covered Calls Buying Calls Volatility in The Market IN The Money OUT the Money Buying and Selling Puts Beginners Common Mistake Risk and Options Parameter Advanced Trading Strategies And much more! In order to be successful at any venture, you need to learn more about it and this is where this book comes in. Many people go into options trading thinking that it is a place to make quick money without taking the time to learn about options trading, then they talk about how options trading does not work, when in fact they skipped the most important thing: learning. Thank goodness, that does not have to be you because you are here An extremely straightforward case of an options trade would be this: If you're selling a product worth $100,000 (state 1,000 offers of a stock worth $100 per share), and a planned buyer prefers the value, they can offer to pay for an alternative to buy those items, while investing the energy looking into different ventures. State, for instance, they're putting forth you $1,000 to hold that cost for them while they accumulate the remainder of the assets, which they state will take three months. At the point when three months pass, they either pay the remaining $99,000 for the offers of the stock or relinquish the choice. When the stock goes up in cost to $110 per share from $100, they can either buy the stock or sell the alternative to another person for the contrast between the old price and the new cost. In any case, the individual holding the option stands to make a clean benefit. Have you been looking for other ways of making money but are not quite sure where to start or have you heard about options trading, and would love to learn more about it and make money? If that is you, then this book is definitely something that you need.


Fundamentals of Options Market

Fundamentals of Options Market

Author: Michael Williams

Publisher: McGraw Hill Professional

Published: 2001-01-09

Total Pages: 368

ISBN-13: 9780071379892

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Options are an investment vehicle that can enhance virtually any investment philosophy. Fundamentals of the Options Market provides a clear, concise picture of this global marketplace. Using examples drawn from contemporary financial news, this completely accessible guidebook describes why and how these versatile tools can be used to hedge risk and enhance return, while explaining popular products including listed stock options, index options, and LEAPS.