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Synopsis: This updated course on options strategies brings to life one of the most respected and highly sought after educators in the industry. Rarely will you find a standalone course that delivers strategies this powerful. It's an exceptional look at methods developed from years of trading experience - all bundled together in a six-hour workshop. Updated with current examples and applications and almost 200 new pages in the manual, this bestselling options course is now more powerful than ever. The money-making tactics you'll learn make this the most important investment you make in your trading future. With Larry McMillan’s NEW Option Strategies Course you get: · Over 6 hours of presentation from one of the most respected authorities in options. · An 278 page manual that includes Larry’s own option strategies · Detailed insight on using the VIX to predict explosive buy signals. · Tactics to hedge against risk in your stock portfolio using volatility futures · Money management strategies that allow you to dial in on the optimal trade size · Proven tips on how to protect your account from the costly impact mistakes Plus the trading wisdom of a legend on strategies and techniques like: -Speculative Buying -Covered Calls -Straddle Buying -Calendar Spread -Naked Options -Credit Spreads -Event-Driven -Skew-Based
Every option floor trader that ever sets foot in the pit is told to read Larry McMillan’s books. Most of the presenters and options educators around today have learned from Larry and respect him as one of the top authorities on options trading. If you want to learn proven, winning, rock solid options strategies… look no further. Now both novices and experts alike can take their trading knowledge to new levels from the comfort of their own homes - at their convenience - with Larry McMillan’s New Option Strategies Course
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Table of Contents: You’ll get complete coverage of:
Definitions Futures Terms Index Options Options Tools Option Modeling and Modeling Software Option Order Execution
Options as a Contrary Indicator Using the Volatility Index Implied Volatility Buy Signal Using the VIX as a precursor to an explosive move
New Volatility Products Futures on the VIX Futures on Variance Options on VIX
Hedging a Stock Portfolio with the New Volatility Futures
Put-Call Ratios Contrary Theory Standard Put-Call Ratio Equity-only Put-Call Ratio Weighted Put-Call Ratio Equity-Only QQQQ Other Major Index Ratios Worth Following Implementing Equity-Only Signals What Option Do You Buy? Trailing Stops Stock Option Put-Call Ratios Sector Put-Call Ratios Futures Option Put-Call Ratios
Options as a Direct Indicator Option Volume Option Volatility Implied Volatility Momentum Trading Up-Down Volume Breakdown and Heavy Put Volume In-Money Puts
Strategies Speculative Approach Volatility-based Approach How to Decide if Volatility is Out of Line? How to Capitalize When Volatility is Out of Line? The Concept of Expected Return Evaluating Spreads Expected Return Myths Determining Trade Size Risk Management Fibonacci The Kelly Criterion Strategies: Techniques and Applications -Speculative Buying -Covered Calls -Straddle Buying -Calendar Spread -Naked Options -Credit Spreads -Event-Driven -Skew-Based
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