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The Options Playbook: Featuring 40 strategies for bulls, bears, rookies, all-stars and everyone in between

byRoma store
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About this item

The Options Playbook was created to demystify option trading and teach investors different option plays for all market conditions. No confusing jargon. No unnecessary mumbo-jumbo. Just clear, easy-to-understand explanations of more than 40 of the most popular option strategies broken down into a play-by-play format including:

Play Name: Long Call, Short Call Spread, Iron Condor, etc.

The Setup: The goals and reasons to run each play

Who Should Run It: Rookies, Veterans or All-Stars, based on degree of difficulty

When To Run It: Describes each play as bullish, bearish or neutral

The Strategy: A detailed overview of each strategy, their risks and the specific costs associated with multi-leg strategies. description

For the first-time option trader The Options Playbook features a "Rookie's Corner," addressing the basic definitions and concepts you need to understand this market, tips to avoid common beginner's mistakes, and suggested strategies to "get your feet wet".

For more experienced option traders, an expanded section on implied volatility explains how this handy variable can be used to find the potential range of the stock over the options life. A detailed section on pricing variables (Greeks) helps you understand how an option's price is affected by changes in market conditions. You will also learn how time decay and a change in implied volatility can affect your trade after it's in place and how to recover if things don't go according to plan.

The Options Playbook features “Options Guy Tips” from Brian Overby the author and founder of Options Playbook, Inc. Like any good coach, Overby's handy insights help you put theory into successful real-world trading.

This expanded 2nd edition includes 10 new plays and 56 new pages of handy content describing a brief history of options, five common mistakes options traders make and how to avoid them, an expanded glossary, how to manage option positions by rolling to a different month and strike, to explaining the difference between index and stock options, managing early exercise and assignment and how to calculate position delta and use it to manage overall position risk of a multi-leg option strategy.

Options involve risk and are not suitable for all investors. Prior to buying or selling an option, a person must receive a copy of Characteristics and Risks of Standardized Options. Copies of this document may be obtained from your broker, from any exchange on which options are traded or by contacting The Options Clearing Corporation, 125 S. Franklin Street, Suite 1200, Chicago, IL 60606 ([email protected]).

Listed on 8 July, 2024