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The Compilation of  Option Strategy: Managing Risk

The Compilation of Option Strategy: Managing Risk

Paperback (16 Sep 2022)

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Publisher's Synopsis

Futures & Options are contracts, signed by two parties for trading in the stock market. They are known as derivative products, that derive their values from the underlying assets. Usually, Future & Option is one wonderful financial instrument, which is used to hedge the underlying asset & minimize losses. Options offer a multitude of directional strategies. There is no guarantee that the strategy you applied will give 100% result. But, if you are right about the direction & timing; you can make huge profit. If you don't use proper options strategy or don't follow proper risk management; options trading will be more risky. Profit can be made in any type of market, up, down & sideways. Future & Option contracts are traded in lot size. Options loose value over time and termed as wasting element. Options trading can create wealth or wipe out your capital. If you don't use proper options strategy or don't follow proper risk management; options trading will be more risky.

Book information

ISBN: 9798353193562
Publisher: Amazon Digital Services LLC - Kdp
Imprint: Independently Published
Pub date:
Language: English
Number of pages: 278
Weight: 485g
Height: 254mm
Width: 178mm
Spine width: 15mm