A comprehensive yet simplified guide to the complex world of options investing and risk management Before trading derivatives, one needs to understand the secrets and mechanics behind the options market. Your Options Handbook: The Practical Reference and Strategy Guide to Trading Options offers a straightforward, practical explanation of the options marketplace, including its origins, the mechanics of the market, and how to profit from trading options. Walks you through the stock and option markets from a professional's perspective, but uses plain language and simple analogies Discusses different trading strategies based upon whether one's opinion of the market is bullish, bearish, or neutral Details market players, useful tips, and trading psychology, and explains how options are priced Options are a versatile trading instrument that typically cost less and can have lower risk than stocks. They also offer investors a unique edge and lucrative opportunities that are not available to stock only traders. Your Options Handbook helps investors fully understand the options market, allowing them to enter the sector with greater ease.
Strategies, tools, and solutions for minimizing risk and volatility in option trading An intermediate level trading book, The Option Trader Handbook, Second Edition provides serious traders with strategies for managing and adjusting their market positions. This Second Edition features new material on implied volatility; Delta and Theta, and how these measures can be used to make better trading decisions. The book presents the art of making trade adjustments in a logical sequence, starting with long and short stock positions; moving on to basic put and call positions; and finally discussing option spreads and combinations. Covers different types of underlying positions and discusses all the possible adjustments that can be made to that position Offers important insights into more complex option spreads and combinations A timely book for today's volatile markets Intended for both stock and option traders, this book will help you improve your overall trading skills and performance.
Eurodollar trading volume is exploding, with no end in sight tools phenomenal growth. The Eurodollar Futures and Options Handbook provides traders and investors with the complete range of current research on Eurodollar futures and options, now the most widely traded money market contracts in the world. The only current book on this widely-followed topic, it features chapters written by Eurodollar experts from JP Morgan, Mellon Capital, Merrill Lynch, and other global trading giants, and will quickly become a required reference for all Eurodollar F&O traders and investors.
Options Trading Handbook There are thousands of books on Options but you wouldn’t find the knowledge that this book provides. The writers provide you descriptive knowledge of options, option Greeks etc. None of the books would provide you the practical concepts on Options that may enable even a semi-literate person to use Option Trading to get rich. This book, that covers the latest information right from the ABCs of Options to Option Greeks in a very simple language, is a rare work of Mahesh Kaushik, the most read research analyst of the Indian stock market. Kaushik likes to explain complex subjects in simple terms. Keeping the same in mind, this book has also been written in the format of a story to ensure you don’t get bored at any point while reading it. The character in the story Ghisu Bhai is a common waiter and the book, witten in an autobiographical style, describes how Kaushik went about teaching him Option Trading.
CBOT trading volume is exploding from over 400 million contracts traded in 2003 to more than 599 million in 2004 The handbook details how electronic trading is overtaking and surpassing traditional open outcry trading, and details specific issues and obstacles for trading in this transformed marketplace Traders receive essential data on major futures contracts, including volume, contract specifications, and key exchanges
Learn to use options from veteran option trader Mark D. Wolfinger, who spent more than 20 years on the floor of the Chicago Board Options Exchange (CBOE). If you are a seasoned stock trader or a casual investor who dabbles in mutual funds, this book is for you.
Discover the professional trader''s insider option strategies that make a consistent profit. Naked option buying or naked option selling is a losing game most retailers play, some get lucky and most will not, this is why more than 90% of the traders lose money in options trading, let''s learn how we can be in the top 10% of successful traders who consistently beat market returns. If you''ve bought this book already, you''ve taken a big step forward to equip yourself in options trading, hopefully, you bought it before losing a significant amount of money in the market. If you are someone who is thinking this book is expensive, please don''t think about options trading or any kind of trading for that matter on a live account yet, don''t be offended just hear me out. You''re probably having a small capital and can''t afford to shell out a couple of dollars to learn things, this means when you make any losses in options trading it may affect you psychologically, having this fear by itself prevents you from making any profits. Options trading requires fair capital to make money consistently and make adjustments to trades when things go wrong. This is a skill that can completely change your life and requires investing your time, money, and efforts to learn things before you start trading and make a fortune out of it, is it possible for a common man? Absolutely. Think about becoming a doctor, engineer, or any kind of professional, we pay tuition fees, spend a lot of time reading books, spend years practicing before actually starting to work, or make any money. But sadly no one treats options trading that way and blows up multiple trading accounts. Options trading is a high-risk high-reward game, despite its potential to make you a fortune over time most traders fail to even be profitable. This calls for a need to learn options trading strategies, different dynamics of options trading, by doing so we''ll be able to manage risk, maximize profitability, make a consistent return, handle emotions, grow your trading account over time. This is not a get rich quick scheme kind of book, so if you''re someone who is in looking to become a millionaire overnight this is not a place for you, and best of luck. If you''re someone who is trying to make consistent income from the market, stick around and we''ll learn ways to do that. After completing this book you will be able to: Understand basics of options and how they work practically Understand different jargon used in the options trading Understand the different types of option greeks like Delta, Theta, Vega, Gamma, and Rho. Understand how option greeks impact different option strategies Understand what options strategies are and why they are important Understand different types of option spreads like credit spreads, debit spreads, vertical spreads, ratio spreads, calendar spreads, diagonal spreads, etc. Understand different types of options strategies like an iron condor, straddle, strangle, covered call, butterflies, jade or big lizard, ladder, collar, batman, etc. Understand the advantages and disadvantages of an option buyer and an option seller Understand how advantages can be amplified and disadvantages can be minimized using option strategies Understand how to define risk, reward, probability of a trade. Understand the basics of option synthetics Understand the basics of risk management techniques Understand the basics of option adjustment techniques Apply all the understandings into options trading Don''t skip any chapters before progressing to the next unless you''re an expert, chapters are structured in such a way that earlier topics are used in later parts of the book. This is the first book in this options trading series so follow the publisher for the continuation and more life-changing content.
The first reference to bring scientifically proven approaches to the practice of personal and executive coaching The Evidence Based Coaching Handbook applies recent behavioral science research to executive and personal coaching, bringing multiple disciplines to bear on why and how coaching works. A groundbreaking resource for this burgeoning profession, this text presents several different coaching approaches along with the empirical and theoretical knowledge base supporting each. Recognizing the special character of coaching-that the coaching process is non-medical, collaborative, and highly contextual-the authors lay out an evidence-based coaching model that allows practitioners to integrate their own expertise and the needs of their individual clients with the best current knowledge. This gives coaches the ability to better understand and optimize their own coaching interventions, while not having to conform to a single, rigidly defined practice standard. The Evidence Based Coaching Handbook looks at various approaches and applies each to the same two case studies, demonstrating through this practical comparison the methods, assumptions, and concepts at work in the different approaches. The coverage includes: An overview: a contextual model of coaching approaches Systems and complexity theory The behavioral perspective The humanistic perspective Cognitive coaching Adult development theory An integrative, goal-focused approach Psychoanalytically informed coaching Positive psychology An adult learning approach An adventure-based framework Culture and coaching
Like the first edition, the second edition of Learning by Doing: A Handbook for Professional Learning Communities at Work helps educators close the knowing-doing gap as they transform their schools into professional learning communities (PLCs).
Handbook of Multi-Commodity Markets and ProductsOver recent decades, the marketplace has seen an increasing integration, not only among different types of commodity markets such as energy, agricultural, and metals, but also with financial markets. This trend raises important questions about how to identify and analyse opportunities in and manage risks of commodity products. The Handbook of Multi-Commodity Markets and Products offers traders, commodity brokers, and other professionals a practical and comprehensive manual that covers market structure and functioning, as well as the practice of trading across a wide range of commodity markets and products. Written in non-technical language, this important resource includes the information needed to begin to master the complexities of and to operate successfully in today’s challenging and fluctuating commodity marketplace. Designed as a practical practitioner-orientated resource, the book includes a detailed overview of key markets – oil, coal, electricity, emissions, weather, industrial metals, freight, agricultural and foreign exchange – and contains a set of tools for analysing, pricing and managing risk for the individual markets. Market features and the main functioning rules of the markets in question are presented, along with the structure of basic financial products and standardised deals. A range of vital topics such as stochastic and econometric modelling, market structure analysis, contract engineering, as well as risk assessment and management are presented and discussed in detail with illustrative examples to commodity markets. The authors showcase how to structure and manage both simple and more complex multi-commodity deals. Addressing the issues of profit-making and risk management, the book reveals how to exploit pay-off profiles and trading strategies on a diversified set of commodity prices. In addition, the book explores how to price energy products and other commodities belonging to markets segmented across specific structural features. The Handbook of Multi-Commodity Markets and Products includes a wealth of proven methods and useful models that can be selected and developed in order to make appropriate estimations of the future evolution of prices and appropriate valuations of products. The authors additionally explore market risk issues and what measures of risk should be adopted for the purpose of accurately assessing exposure from multi-commodity portfolios. This vital resource offers the models, tools, strategies and general information commodity brokers and other professionals need to succeed in today’s highly competitive marketplace.