Strategies for trading derivatives: a practical guide for investors
This book is a practical guide to trading derivatives. It outlines the trading strategies developed by the author over the last seven years, detailing the research carried out, and the performance of the various systems against real price data. It is not meant to be a comprehensive guide to investing in derivatives, and therefore assumes that the reader will have a basic understanding of Futures, Traded Options, and Contracts for Difference.
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30 costs 44 Sell 4ate 4rice 4umulative Aviva back the option bear market break-even point broker bull market buy back calculated as follows Call options CALLS AND PUTS cfd's in LloydsTSB CHAPTER chart checklist Contracts for Difference cover the position deal is calculated equity options ex-dividend date example expiry date February I buy FTSE 44 FTSE 4ow FTSE-100 Index fundamental analysis futures contract Gain important index options Index Value instance investment investors judgement look Loss on cfd loss on future LU Q margin requirement market conditions Method G month beginning offset Option 4etails F4 option premium option spread period position by purchasing price movements price moves profit Put option share price shares go ex-dividend sold stop loss level stop loss limit stop loss trigger strategy strike price techniques total loss traded options trading month Value of Index volatility