
The Unlucky Investor's Guide to Options Trading
Julia Spina(Author)
Wiley (Publisher)
1st Edition
Published on 19. April 2022
Book
Hardback
224 pages
978-1-119-88265-7 (ISBN)
Description
An approachable guide to sustainable options trading, minimal luck needed.
Traders who are successful long-term do not rely on luck, but rather their ability to adapt, strategize, and utilize available tools and information. Modern markets are becoming increasingly accessible to the average consumer, and the emergence of retail options trading is opening a world of opportunities for the individual investor. Options are highly versatile and complex financial instruments that were exclusive to industry professionals until recently. So where should beginners start? The Unlucky Investor's Guide to Options Trading breaks down the science of options trading to suit interested traders from any background. Using statistics and historical options data, readers will develop an intuitive understanding of the potential risks and rewards of options contracts. From the basics of options trading to strategy construction and portfolio management, The Unlucky Investor's Guide to Options Trading guides readers through the world of options and teaches the crucial risk management techniques for sustainable investing.
Traders who are successful long-term do not rely on luck, but rather their ability to adapt, strategize, and utilize available tools and information. Modern markets are becoming increasingly accessible to the average consumer, and the emergence of retail options trading is opening a world of opportunities for the individual investor. Options are highly versatile and complex financial instruments that were exclusive to industry professionals until recently. So where should beginners start? The Unlucky Investor's Guide to Options Trading breaks down the science of options trading to suit interested traders from any background. Using statistics and historical options data, readers will develop an intuitive understanding of the potential risks and rewards of options contracts. From the basics of options trading to strategy construction and portfolio management, The Unlucky Investor's Guide to Options Trading guides readers through the world of options and teaches the crucial risk management techniques for sustainable investing.
More details
Language
English
Place of publication
New York
United States
Target group
Professional and scholarly
Dimensions
Height: 232 mm
Width: 153 mm
Thickness: 23 mm
Weight
412 gr
ISBN-13
978-1-119-88265-7 (9781119882657)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
Additional editions

Julia Spina
The Unlucky Investor's Guide to Options Trading
Book
09/2024
1st Edition
Wiley
€21.50
Shipment within 15-20 days

Julia Spina
The Unlucky Investor's Guide to Options Trading
E-Book
02/2022
1st Edition
Wiley
€14.99
Available for download

Julia Spina
The Unlucky Investor's Guide to Options Trading
E-Book
02/2022
1st Edition
Wiley
€14.99
Available for download
Persons
JULIA SPINA is a member of the research team and podcast co-host at tastytrade where she works as a financial educator and options strategist. Drawing from her background in physics and experience with signal processing and data analysis, Julia introduces viewers to topics in quantitative finance and their applications in options strategy development. At the University of Illinois, she earned bachelor's degrees in engineering physics (2017) and applied mathematics (2017) and a master's in physics (2018).
ANTON KULIKOV is a member of the research team and podcast co-host at tastytrade and a columnist for the financial lifestyle magazine, Luckbox. He has spent the last four years developing innovative strategies for the retail options market and educating traders in fundamental economic theory on the show. At the University of Illinois, Anton earned bachelor's degrees in finance (2018) and economics (2018) and worked at the Margolis Market Information Lab.
TOM SOSNOFF is an online brokerage innovator, financial educator, and the founder and co-CEO of tastytrade. Tom is a serial entrepreneur who cofounded thinkorswim in 1999, tastytrade in 2011, tastyworks in 2017, helped to launch Luckbox magazine in 2019, and in 2020 created the first new futures exchange in 20 years, The Small Exchange. Currently, Tom hosts tastytrade LIVE and continues to drive know-how for the do-it-yourself investor. Tom has been named to Techweek's Tech 100 list, Crain's Chicago Business's Tech 50, and has spoken at more than 500 events across the globe.
ANTON KULIKOV is a member of the research team and podcast co-host at tastytrade and a columnist for the financial lifestyle magazine, Luckbox. He has spent the last four years developing innovative strategies for the retail options market and educating traders in fundamental economic theory on the show. At the University of Illinois, Anton earned bachelor's degrees in finance (2018) and economics (2018) and worked at the Margolis Market Information Lab.
TOM SOSNOFF is an online brokerage innovator, financial educator, and the founder and co-CEO of tastytrade. Tom is a serial entrepreneur who cofounded thinkorswim in 1999, tastytrade in 2011, tastyworks in 2017, helped to launch Luckbox magazine in 2019, and in 2020 created the first new futures exchange in 20 years, The Small Exchange. Currently, Tom hosts tastytrade LIVE and continues to drive know-how for the do-it-yourself investor. Tom has been named to Techweek's Tech 100 list, Crain's Chicago Business's Tech 50, and has spoken at more than 500 events across the globe.
Content
Foreword
Preface
Acknowledgments
About the Authors
Introduction
Chapter 1: Math and Finance Preliminaries
Chapter 2: The Nature of Volatility Trading and Implied Volatility
Chapter 3: Trading Short Premium
Chapter 4: Buying Power Reduction
Chapter 5: Constructing a Trade
Chapter 6: Managing Trades
Chapter 7: Basic Portfolio Management
Chapter 8: Advanced Portfolio Management
Chapter 9: Binary Events
Chapter 10: Conclusion and Key Takeaways
Appendix
Glossary
Notes
References
Index
Preface
Acknowledgments
About the Authors
Introduction
Chapter 1: Math and Finance Preliminaries
Chapter 2: The Nature of Volatility Trading and Implied Volatility
Chapter 3: Trading Short Premium
Chapter 4: Buying Power Reduction
Chapter 5: Constructing a Trade
Chapter 6: Managing Trades
Chapter 7: Basic Portfolio Management
Chapter 8: Advanced Portfolio Management
Chapter 9: Binary Events
Chapter 10: Conclusion and Key Takeaways
Appendix
Glossary
Notes
References
Index