Book Description
A thoughtful presentation of options trading and pricing which discusses the impact of volatility in the processTrading Options in Turbulent Markets reveals how volatility in options trading relates to today's stormy marketplace and shows you how to manage risk and take advantage of market volatility when investing in derivatives. In this book, options expert Larry Shover skillfully addresses how to use historical volatility to predict future volatility for a security, or the implied volatility, and offers suggestions for dealing with that odd feature of options trading known as skew.
Editorial Reviews
Book Description
Investors and traders face an economic landscape marked by uncertainty, crisis, and stress that has generated soaring volatility. But options can actually turn that turbulence to a profit-making advantage. In this book, Shover covers the essential concepts of market volatility and its effects on options. He shows how to shape and optimize trades through practical option strategies that deliver both yield enhancement and downside protection. Light on math, the book instead emphasizes an understanding of the concepts to use options effectively.
Using real-life examples and anecdotes from his experience as a trader and teacher, Shover fully engages readers in learning about options trading.
Using real-life examples and anecdotes from his experience as a trader and teacher, Shover fully engages readers in learning about options trading.
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