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OverviewFull Product DetailsAuthor: Mark SebastianPublisher: Pearson Education (US) Imprint: Financial TImes Prentice Hall ISBN: 9780134129235ISBN 10: 0134129237 Pages: 240 Publication Date: 11 May 2016 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Forthcoming Availability: In Print ![]() Limited stock is available. It will be ordered for you and shipped pending supplier's limited stock. Table of ContentsIntroducitonChapter 1. A frameworkChapter 2: Basics of risk managementChapter 3. How do market makers manage risk on a position by position basis when trading Trading for DirectionChapter 4: The Wheel trade and leveraged tradingChapter 5: Basics of buy and sell decisionsNon Directional TradingChapter 6: How to evaluate edge in short premium tradesChapter 7: Capturing edge and basic spreadsChapter 8: Trading front spreads and broken wing butterflies for edgeChapter 9: Trading long options for edge, how to buy straddles strangles and short butterflies against a portfolio of tradesChapter 10: Calendar Spreads: when to buy, when to sell, when to trade something elseChapter 11: How market makers manage book risk, how they take hold a whole portfolioChapter 12: Book management, Net portfolio weighting, how to hold rate trades against a total portfolioSummaryAppendixReviewsAuthor InformationMark Sebastian is a former member of both the Chicago Board Options Exchange and the American Stock Exchange. The Author of the popular trading manual The Option Traders Hedge fund. He is a frequent guest on CNBC, Fox Business News, Bloomberg, and First Business News. Mark has done consulting work for billion dollar hedge funds and invest advisors as well has multiple money managers. Sebastian has been published nationally on Yahoo Finance, quoted in the Wall Street Journal, Reuters, and Bloomberg and is an 'all-star contributor' for TheStreet.com's Option Profits Team. Mark has spoken for the CBOE, the ISE, CME, and VOLX and is a co-host on the popular Option Block Podcast and Volatility Views podcast. Mark has a Bachelor's in Science from Villanova University. Tab Content 6Author Website:Countries AvailableAll regions |