Trading Options for Edge : : Profit from Options and Manage Risk Like the Professional Trading Firms / / Mark Sebastian.

If you have experience in option trading, or a strong understanding of the options markets, but want to better understand how to trade given certain market conditions, this is the book for you. Many people have some knowledge of trading strategies, but have no idea how to pull it all together. Mark...

Full description

Saved in:
Bibliographic Details
Superior document:Title is part of eBook package: De Gruyter DG Plus eBook-Package 2017
VerfasserIn:
MitwirkendeR:
Place / Publishing House:Berlin ;, Boston : : De Gruyter, , [2017]
©2017
Year of Publication:2017
Language:English
Online Access:
Physical Description:1 online resource (XXI, 217 p.)
Tags: Add Tag
No Tags, Be the first to tag this record!
LEADER 05225nam a22009615i 4500
001 9781501505676
003 DE-B1597
005 20210830012106.0
006 m|||||o||d||||||||
007 cr || ||||||||
008 210830t20172017gw fo d z eng d
010 |a 2017056857 
020 |a 9781501505676 
024 7 |a 10.1515/9781501505676  |2 doi 
035 |a (DE-B1597)477962 
035 |a (OCoLC)1013820646 
040 |a DE-B1597  |b eng  |c DE-B1597  |e rda 
041 0 |a eng 
044 |a gw  |c DE 
050 0 0 |a HG6024  |b .S43 2017 
050 4 |a HG6024  |b .S43 2017eb 
072 7 |a BUS036040  |2 bisacsh 
082 0 4 |a 332.6  |2 23 
100 1 |a Sebastian, Mark,   |e author.  |4 aut  |4 http://id.loc.gov/vocabulary/relators/aut 
245 1 0 |a Trading Options for Edge :  |b Profit from Options and Manage Risk Like the Professional Trading Firms /  |c Mark Sebastian. 
264 1 |a Berlin ;  |a Boston :   |b De Gruyter,   |c [2017] 
264 4 |c ©2017 
300 |a 1 online resource (XXI, 217 p.) 
336 |a text  |b txt  |2 rdacontent 
337 |a computer  |b c  |2 rdamedia 
338 |a online resource  |b cr  |2 rdacarrier 
347 |a text file  |b PDF  |2 rda 
505 0 0 |t Frontmatter --   |t Acknowledgments --   |t Foreword --   |t Contents --   |t Preface --   |t Introduction --   |t Part I: Professional Lessons Every Trader Needs to Know --   |t Chapter 1. Trading in Options --   |t Chapter 2. Risk Management --   |t Chapter 3. Market Makers, Risk, and the Individual Trader --   |t Chapter 4. Volatility --   |t Chapter 5. What Is Edge? --   |t Chapter 6. Locking in Edge --   |t Part II: Using Spreads --   |t Chapter 7. A Quick Review of Spreads --   |t Chapter 8. Adding Edge to Spreads --   |t Chapter 9. Butterflies and Condors --   |t Chapter 10. The Front Spread --   |t Chapter 11. Calendar Spreads --   |t Part III: Global Risk --   |t Chapter 12. How a Market Maker Trades --   |t Chapter 13. Portfolio Greeks --   |t Chapter 14. Crisis Alpha --   |t Part IV: Appendices --   |t Appendix A. Important Terms --   |t Appendix B. Best Blogs --   |t Index 
506 0 |a restricted access  |u http://purl.org/coar/access_right/c_16ec  |f online access with authorization  |2 star 
520 |a If you have experience in option trading, or a strong understanding of the options markets, but want to better understand how to trade given certain market conditions, this is the book for you. Many people have some knowledge of trading strategies, but have no idea how to pull it all together. Mark Sebastian’s latest book will teach trade evaluation, using Greeks, trading various spreads under different market conditions, portfolio-building, and risk management. Sebastian’s approach will help traders understand how to find edge, what kind of trade under what conditions will capture edge, and how to create and successfully hedge to help you build your own personal Goldman Sachs or Merrill Lynch. The book demonstrates how to structure a portfolio of trades that makes more money with less risk. Click here to watch the author's interviews with Fox Business and Nasdaq: http://video.foxbusiness.com/v/5759956686001/ https://youtu.be/dOEJ118vMnA 
538 |a Mode of access: Internet via World Wide Web. 
546 |a In English. 
588 0 |a Description based on online resource; title from PDF title page (publisher's Web site, viewed 30. Aug 2021) 
650 0 |a Options (Finance) 
650 0 |a Options (Finance). 
650 0 |a Portfolio management. 
650 4 |a CBOE. 
650 4 |a Derivat-Geschaeft. 
650 4 |a Die Griechen. 
650 4 |a Hedgefonds. 
650 4 |a Optionshandel. 
650 4 |a Termingeschaeft. 
650 4 |a Volatilitätsrisiko. 
650 7 |a BUSINESS & ECONOMICS / Investments & Securities / Options.  |2 bisacsh 
653 |a Derivatives. 
653 |a Hedge fund. 
653 |a Options trade. 
700 1 |a Luby, Bill,   |e contributor.  |4 ctb  |4 https://id.loc.gov/vocabulary/relators/ctb 
773 0 8 |i Title is part of eBook package:  |d De Gruyter  |t DG Plus eBook-Package 2017  |z 9783110719543 
773 0 8 |i Title is part of eBook package:  |d De Gruyter  |t EBOOK PACKAGE COMPLETE 2017  |z 9783110540550  |o ZDB-23-DGG 
773 0 8 |i Title is part of eBook package:  |d De Gruyter  |t EBOOK PACKAGE COMPLETE ENGLISH 2017  |z 9783110625264 
773 0 8 |i Title is part of eBook package:  |d De Gruyter  |t EBOOK PACKAGE Economics 2017  |z 9783110547740  |o ZDB-23-DBV 
776 0 |c EPUB  |z 9781501505577 
856 4 0 |u https://doi.org/10.1515/9781501505676 
856 4 0 |u https://www.degruyter.com/isbn/9781501505676 
856 4 2 |3 Cover  |u https://www.degruyter.com/cover/covers/9781501505676.jpg 
912 |a 978-3-11-062526-4 EBOOK PACKAGE COMPLETE ENGLISH 2017  |b 2017 
912 |a 978-3-11-071954-3 DG Plus eBook-Package 2017  |b 2017 
912 |a EBA_BACKALL 
912 |a EBA_CL_LAEC 
912 |a EBA_DGALL 
912 |a EBA_EBACKALL 
912 |a EBA_EBKALL 
912 |a EBA_ECL_LAEC 
912 |a EBA_EEBKALL 
912 |a EBA_ESSHALL 
912 |a EBA_ESTMALL 
912 |a EBA_SSHALL 
912 |a EBA_STMALL 
912 |a GBV-deGruyter-alles 
912 |a PDA11SSHE 
912 |a PDA12STME 
912 |a PDA13ENGE 
912 |a PDA17SSHEE 
912 |a PDA18STMEE 
912 |a PDA5EBK 
912 |a ZDB-23-DBV  |b 2017 
912 |a ZDB-23-DGG  |b 2017