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EBookClubs

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Book Microsoft Excel for Stock and Option Traders

Download or read book Microsoft Excel for Stock and Option Traders written by Jeff Augen and published by Cisco Press. This book was released on 2011-04-18 with total page 209 pages. Available in PDF, EPUB and Kindle. Book excerpt: Trade more profitably by exploiting Microsoft Excel’s powerful statistical and data mining tools: · Uncover subtle anomalies and distortions that signal profit opportunities · Create powerful new custom indicators, alerts, and trading models · Visualize and analyze huge amounts of trading data with just a few clicks · Powerful techniques for every active investor who can use Excel Now that high-speed traders dominate the market, yesterday’s slower-paced analysis strategies are virtually worthless. To outperform, individual traders must discover fleeting market trends and inefficiencies and act on them before they disappear. Five years ago, this required multimillion-dollar data mining and analytical infrastructures. Today, traders can use Excel with the help of world-class trader Jeff Augen’s Microsoft Excel for Stock and Option Traders: Build your Own Analytical Tools for Higher Returns. Augen shows how to use Excel 2007 or 2010 to uncover hidden correlations and reliable trade triggers based on subtle anomalies and price distortions, create and test new hypotheses others haven’t considered, and visualize data to reveal insights others can’t see! "Jeff Augen turns things inside out in his remarkable and challenging book Microsoft Excel for Stock and Option Traders." - John A. Sarkett, SFO Magazine, October 2011

Book Microsoft Excel for Stock and Option Traders

Download or read book Microsoft Excel for Stock and Option Traders written by Jeffrey Augen and published by . This book was released on 2011 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: Trade more profitably by exploiting Microsoft Excel's powerful statistical and data mining tools: · Uncover subtle anomalies and distortions that signal profit opportunities · Create powerful new custom indicators, alerts, and trading models · Visualize and analyze huge amounts of trading data with just a few clicks · Powerful techniques for every active investor who can use Excel Now that high-speed traders dominate the market, yesterday's slower-paced analysis strategies are virtually worthless. To outperform, individual traders must discover fleeting market trends and inefficiencies and act on them before they disappear. Five years ago, this required multimillion-dollar data mining and analytical infrastructures. Today, traders can use Excel with the help of world-class trader Jeff Augen's Microsoft Excel for Stock and Option Traders: Build your Own Analytical Tools for Higher Returns. Augen shows how to use Excel 2007 or 2010 to uncover hidden correlations and reliable trade triggers based on subtle anomalies and price distortions, create and test new hypotheses others haven't considered, and visualize data to reveal insights others can't see! " Jeff Augen turns things inside out in his remarkable and challenging book Microsoft Excel for Stock and Option Traders." - John A. Sarkett, SFO Magazine , October 2011.

Book The Option Trader s Workbook

Download or read book The Option Trader s Workbook written by Jeff Augen and published by FT Press. This book was released on 2011-10-05 with total page 303 pages. Available in PDF, EPUB and Kindle. Book excerpt: This is the eBook of the printed book and may not include any media, website access codes, or print supplements that may come packaged with the bound book. Successful options trading requires extensive practice. Most options books offer theory and strategies, but don't offer the practice needed to prepare for real-world trades, where the wrong split-second decisions can cost you dearly. Expert trader Jeff Augen covers every key scenario you'll encounter in modern options trading, guides you through successful trade executions, and shows how to overcome key pitfalls that trip up most traders. You'll walk through trades designed to profit from changing prices and volatility, time decay, rapid price spikes, and many other factors. This second edition introduces powerful new techniques, and reflects the long-term impacts of the 2009 crash. New problems include: New CBOE Weekly Options Expiration options, and their unique pricing dynamics. Using collars, covered calls, and covered puts to structure income-generating trades with well-defined risk profiles. Using ratio trading, VIX options, volatility ETFs, and variance trading to generate profits from shifts in volatility. Each section contains beginner, intermediate, and advanced sections, helping you build your skills one trade at a time, no matter how much experience you have--or how little. You'll find several hundred questions, all designed to mirror real life, and supported with clearly explained solutions.

Book Jeff Augen s Options Trading Strategies

Download or read book Jeff Augen s Options Trading Strategies written by Jeff Augen and published by FT Press. This book was released on 2012 with total page 775 pages. Available in PDF, EPUB and Kindle. Book excerpt: Breakthrough option strategies from Jeff Augen: Three books packed with new tools and strategies for earning higher, more consistent profits and systematically controlling risk! In three remarkable books, Jeff Augen teaches you dozens of up-to-the-minute option trading strategies and techniques for earning powerful, consistent profits! The Option Trader's Workbook, Second Edition offers start-to-finish hands-on practice with every leading strategy, including the newest trading techniques. Through hundreds of realistic problems (each with fully explained solutions), you'll walk through trades designed to profit from changing prices, volatility, and time decay...plus new ways to use CBOE Weekly Options Expiration options, collars, covered calls, covered puts, ratio and variance trading, VIX options, volatility ETFs, and more...all without risking a dime! In Trading Options at Expiration: Strategies and Models for Winning the Endgame, Augen reveals new ways to structure positions that profit from predictable end-of-contract price distortions with remarkably low risk. Packed with brand-new statistical models, minute-by-minute pricing analyses, and optimized strategies, this book teaches you how to create trades that regularly deliver returns of 40%--300% with just two days of market exposure per month, or even less. Finally, in The Volatility Edge in Options Trading: New Technical Strategies for Investing in Unstable Markets, Augen introduces breakthrough strategies for identifying and profiting from subtle price distortions that arise from changes in market volatility. Drawing on more than a decade of never-before-published research, Augen shows option traders how to study historical price changes, mitigate risk, limit market exposure, and structure mathematically sound high-return positions. You'll even discover how to build your own customized, low-cost analytical toolset to transform these state-of-the-art strategies into practical buy/sell signals!

Book The Option Trader s Workbook

Download or read book The Option Trader s Workbook written by Jeffrey Augen and published by FT Press. This book was released on 2012 with total page 303 pages. Available in PDF, EPUB and Kindle. Book excerpt: Successful stock options trading requires extensive practice. Most options books offer theory and strategies, but don't offer the practice needed to prepare for real-world trades, where the wrong split-second decisions can cost you dearly. In The Option Trader's Workbook: A Problem-Solving Approach, expert trader Jeff Augen covers every key scenario you'll encounter in modern options trading, guides you through successful trade executions, and shows how to overcome key pitfalls that trip up most traders. You'll walk through trades designed to profit from changing prices and volatility, time decay, rapid price spikes, and many other factors. This second edition introduces powerful new techniques, and reflects the long-term impacts of the 2009 crash. New problems include: - New CBOE Weekly Options Expiration options, and their unique pricing dynamics. - Using collars, covered calls, and covered puts to structure income-generating trades with well-defined risk profiles. - Using ratio trading, VIX options, volatility ETFs, and variance trading to generate profits from shifts in volatility. Each section contains information for beginners, intermediate, and advanced traders, helping you build your skills one trade at a time, no matter how much experience you have--or how little. You'll find several hundred questions, all designed to mirror real life, and supported with clearly explained solutions.

Book Trading Option Backspreads

Download or read book Trading Option Backspreads written by Adam Warner and published by FT Press. This book was released on 2011-09-13 with total page 40 pages. Available in PDF, EPUB and Kindle. Book excerpt: This is the eBook version of the printed book. A backspread is an option spread in which a trader carries a short position in one option series and a greater quantity of long position in another option series. The backspread gives you a two-pronged bet. Since you typically structure them to yield a credit, you win small if the entire trade goes worthless. You also have extra long puts on a put backspread, and extra long calls on a call backspread, so you potentially win big if the underlying stock moves sharply beyond your strike prices. That sounds fantastic, like getting paid to buy a lottery ticket. Alas, you face risks, too. You lose if the underlying stock hovers near the strike price you own or if implied volatility of the options declines while the stock moves into unfavorable territory. Even so, backspreads provide excellent risk/reward characteristics if you want to bet on a move in the underlying stock. In this Investing Short, Adam Warner shows you how.

Book Options Trading Simplified

    Book Details:
  • Author : Kamal Jamwal
  • Publisher :
  • Release : 2019-05-04
  • ISBN : 9781096862284
  • Pages : 77 pages

Download or read book Options Trading Simplified written by Kamal Jamwal and published by . This book was released on 2019-05-04 with total page 77 pages. Available in PDF, EPUB and Kindle. Book excerpt: 90% of people don't understand the basic concept of Trading Options. My intent of writing this book is that even if a layman who does not understand ABC of options trading, can get these concepts easily and start trading options from day 1. That's it! In this book, all the possible strategies of Options trading like Spreads, Straddle, Strangles, Covered Call, Protective Puts, Butterfly are explained with an ease and hell lot of real life examples.On top it, a free tool is developed for traders to do their calculations before they enter into trades. They can do experimentation with possible alternatives.All strategies are covered with real life examples, which make it easy to grasp the concepts. Once you marry this with a sound risk management and risk to reward ratio, you become an elite member of 10% exclusive club of profitable traders.-Tags-options trading, binary options, binary options trading, binary options brokers, option strategies, stock options trading, futures trading, stock trading, options trading basics, futures and options, put option, trading platform, binary options trading system, trading strategies, call option, online options trading, trade tools, buying options, option strategy, best binary trading platforms, options trading simulator, option market, day trading options, options trading platforms, options in stock market, trading weekly options, trading options for a living, how options trading works, how to trade options, where to trade options

Book The Volatility Edge in Options Trading

Download or read book The Volatility Edge in Options Trading written by Jeff Augen and published by FT Press. This book was released on 2008-01-17 with total page 301 pages. Available in PDF, EPUB and Kindle. Book excerpt: “Jeff’s analysis is unique, at least among academic derivatives textbooks. I would definitely use this material in my derivatives class, as I believe students would benefit from analyzing the many dimensions of Jeff’s trading strategies. I especially found the material on trading the earnings cycle and discussion of how to insure against price jumps at known events very worthwhile.” —DR. ROBERT JENNINGS, Professor of Finance, Indiana University Kelley School of Business “This is not just another book about options trading. The author shares a plethora of knowledge based on 20 years of trading experience and study of the financial markets. Jeff explains the myriad of complexities about options in a manner that is insightful and easy to understand. Given the growth in the options and derivatives markets over the past five years, this book is required reading for any serious investor or anyone in the financial service industries.” —MICHAEL P. O’HARE, Head of Mergers & Acquisitions, Oppenheimer & Co. Inc. “Those in the know will find this book to be an excellent resource and practical guide with exciting new insights into investing and hedging with options.” —JIM MEYER, Managing Director, Sasqua Field Capital Partners LLC “Jeff has focused everything I knew about options pricing and more through a hyper-insightful lens! This book provides a unique and practical perspective about options trading that should be required reading for professional and individual investors.” —ARTHUR TISI, Founder and CEO, EXA Infosystems; private investor and options trader In The Volatility Edge in Options Trading, leading options trader Jeff Augen introduces breakthrough strategies for identifying subtle price distortions that arise from changes in market volatility. Drawing on more than a decade of never-before-published research, Augen provides new analytical techniques that every experienced options trader can use to study historical price changes, mitigate risk, limit market exposure, and structure mathematically sound high-return options positions. Augen bridges the gap between pricing theory mathematics and market realities, covering topics addressed in no other options trading book. He introduces new ways to exploit the rising volatility that precedes earnings releases; trade the monthly options expiration cycle; leverage put:call price parity disruptions; understand weekend and month-end effects on bid-ask spreads; and use options on the CBOE Volatility Index (VIX) as a portfolio hedge. Unlike conventional guides, The Volatility Edge in Options Trading doesn’t rely on oversimplified positional analyses: it fully reflects ongoing changes in the prices of underlying securities, market volatility, and time decay. What’s more, Augen shows how to build your own customized analytical toolset using low-cost desktop software and data sources: tools that can transform his state-of-the-art strategies into practical buy/sell guidance. An options investment strategy that reflects the markets’ fundamental mathematical properties Presents strategies for achieving superior returns in widely diverse market conditions Adaptive trading: how to dynamically manage option positions, and why you must Includes precise, proven metrics and rules for adjusting complex positions Effectively trading the earnings and expiration cycles Leverage price distortions related to earnings and impending options expirations Building a state-of-the-art analytical infrastructure Use standard desktop software and data sources to build world-class decision-making tools

Book Options Trading for the Institutional Investor

Download or read book Options Trading for the Institutional Investor written by Michael C. Thomsett and published by FT Press. This book was released on 2014-03-18 with total page 337 pages. Available in PDF, EPUB and Kindle. Book excerpt: To protect portfolios in today's volatile and uncertain market environment, institutional investors need to hedge losses, create extra sources of income, and reduce risk. In his extensively updated and expanded Options Trading for the Institutional Investor, Third Edition, renowned options expert Michael C. Thomsett shows how to do all this effectively. One step at a time, Thomsett helps institutional investors exploit powerful, carefully chosen options strategies that can dramatically increase overall returns as you manage risks within your institution's limits. Thomsett discusses covered call writing on carefully selected stocks, contingent purchase strategies, and powerful "combination" strategies that produce cash to bolster current income. He guides professional investors through every strategy, using actual examples, portfolios, and graphs taken directly from today's markets. Wherever applicable, he addresses specific forms of risk and volatility that only institutional investors face. This thoroughly updated Third Edition includes a chart-based analytical method that relies on reversal signals in the underlying as an alternative to volatility analysis. Thomsett presents new chapters on two powerful strategies he has developed and utilized to optimize returns while minimizing risk: the 1-2-3 Iron Butterfly, and the Dividend Collar. This edition also adds detailed new coverage of risk evaluation.

Book Build an Automated Stock Trading System in Excel

Download or read book Build an Automated Stock Trading System in Excel written by Lawrence H. Klamecki and published by Createspace Independent Publishing Platform. This book was released on 2012-12-07 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: Build an Automated Stock Trading System in Excel is a step-by-step how to guide on building a sophisticated automated stock trading model using Microsoft Excel. Microsoft's Visual Basic (VBA) language is used in conjunction with Excel's user interface, formulas, and calculation capabilities to deliver a powerful and flexible trading tool. The Model includes five proven technical indicators (ADX, moving average crossovers, stochastics, Bollinger bands, and DMI). You are guided in a detailed fashion through creating worksheets, files, ranges, indicator formulas, control buttons, DDE/Active-X links, and code modules. The model incorporates both trend-trading and swing-trading features. The swing-trading feature can be turned on or off, depending upon your investing style. After building the model, you simply import the data you need, run the model automatically with a click of a button, and make your trading decisions. The system operates with your choice of FREE ASCII .TXT files available on the internet (from Yahoo Finance or other provider), or your subscription data service (with our without a DDE link). The model can be used alone or in conjunction with your existing fundamental and market analysis to improve investment timing and avoid unprofitable situations. A separate pre-built Backtesting Model is included by email for historical analysis and testing various stocks and time periods. What You Get: A Tremendous 3-in-1 Value! - A complete how to guide PLUS VBA Code and FAQs sections. - Detailed instructions on importing price data into Excel using a DDE link or Yahoo Finance. - Pre-built Backtesting Model in Excel with graphs and trade statistics for your historical analysis. Features & Benefits: - Learn to integrate Excel, VBA, formulas, and data sources into a profitable trading tool. - Acquire unique knowledge applicable to any Excel modeling or analysis project. - Save money by eliminating recurring software costs. - Calculate trading signals on a large number of stocks within seconds. Technical Requirements: - Microsoft Excel - 2 megabytes disk space (for files and stock data storage) - Intraday, daily, or weekly Open-High-Low-Close-Volume price data - Internet access

Book Introduction To Derivative Securities  Financial Markets  And Risk Management  An  Second Edition

Download or read book Introduction To Derivative Securities Financial Markets And Risk Management An Second Edition written by Robert A Jarrow and published by World Scientific. This book was released on 2019-05-16 with total page 772 pages. Available in PDF, EPUB and Kindle. Book excerpt: Written by two of the most distinguished finance scholars in the industry, this introductory textbook on derivatives and risk management is highly accessible in terms of the concepts as well as the mathematics.With its economics perspective, this rewritten and streamlined second edition textbook, is closely connected to real markets, and:Beginning at a level that is comfortable to lower division college students, the book gradually develops the content so that its lessons can be profitably used by business majors, arts, science, and engineering graduates as well as MBAs who would work in the finance industry. Supplementary materials are available to instructors who adopt this textbook for their courses. These include:Solutions Manual with detailed solutions to nearly 500 end-of-chapter questions and problemsPowerPoint slides and a Test Bank for adoptersPRICED! In line with current teaching trends, we have woven spreadsheet applications throughout the text. Our aim is for students to achieve self-sufficiency so that they can generate all the models and graphs in this book via a spreadsheet software, Priced!

Book Introduction To Derivative Securities  Financial Markets  And Risk Management  An  Third Edition

Download or read book Introduction To Derivative Securities Financial Markets And Risk Management An Third Edition written by Robert A Jarrow and published by World Scientific. This book was released on 2024-05-03 with total page 763 pages. Available in PDF, EPUB and Kindle. Book excerpt: The third edition updates the text in two significant ways. First, it updates the presentation to reflect changes that have occurred in financial markets since the publication of the 2nd edition. One such change is with respect to the over-the-counter interest rate derivatives markets and the abolishment of LIBOR as a reference rate. Second, it updates the theory to reflect new research related to asset price bubbles and the valuation of options. Asset price bubbles are a reality in financial markets and their impact on derivative pricing is essential to understand. This is the only introductory textbook that contains these insights on asset price bubbles and options.

Book The Art of Options Trading in Australia

Download or read book The Art of Options Trading in Australia written by Christopher Tate and published by John Wiley & Sons. This book was released on 2016-05-04 with total page 970 pages. Available in PDF, EPUB and Kindle. Book excerpt: The exchange-traded options market is one of the most dynamic andinnovative markets in Australia, and options themselves are amongthe most profitable tools available to traders. While traditionalinvestors can only make a profit when the market is rising, tradersin options can make money whether the market is moving up or down.The leverage they provide also allows traders to control a largeamount of stock with a comparatively small amount of money. In The Art of Options Trading in Australia, experiencedand highly successful options trader Christopher Tate shows you howto make the most of these valuable tools. Starting with the basicsof defining options, Chris goes on to look at: How options are priced, and what factors influence this Reading option quotes and payoff diagrams How the passing of time and changes in volatility affectoptions The 'Greeks' and how to use them Using the internet to assist your options trading Spreads, straddles and strangles Warrants, and the different types available.

Book Option Pricing Models and Volatility Using Excel VBA

Download or read book Option Pricing Models and Volatility Using Excel VBA written by Fabrice D. Rouah and published by John Wiley & Sons. This book was released on 2012-06-15 with total page 456 pages. Available in PDF, EPUB and Kindle. Book excerpt: This comprehensive guide offers traders, quants, and students the tools and techniques for using advanced models for pricing options. The accompanying website includes data files, such as options prices, stock prices, or index prices, as well as all of the codes needed to use the option and volatility models described in the book. Praise for Option Pricing Models & Volatility Using Excel-VBA "Excel is already a great pedagogical tool for teaching option valuation and risk management. But the VBA routines in this book elevate Excel to an industrial-strength financial engineering toolbox. I have no doubt that it will become hugely successful as a reference for option traders and risk managers." —Peter Christoffersen, Associate Professor of Finance, Desautels Faculty of Management, McGill University "This book is filled with methodology and techniques on how to implement option pricing and volatility models in VBA. The book takes an in-depth look into how to implement the Heston and Heston and Nandi models and includes an entire chapter on parameter estimation, but this is just the tip of the iceberg. Everyone interested in derivatives should have this book in their personal library." —Espen Gaarder Haug, option trader, philosopher, and author of Derivatives Models on Models "I am impressed. This is an important book because it is the first book to cover the modern generation of option models, including stochastic volatility and GARCH." —Steven L. Heston, Assistant Professor of Finance, R.H. Smith School of Business, University of Maryland

Book Valuing Employee Stock Options

Download or read book Valuing Employee Stock Options written by Johnathan Mun and published by John Wiley & Sons. This book was released on 2004-10-13 with total page 335 pages. Available in PDF, EPUB and Kindle. Book excerpt: A comprehensive guide to understanding the implications andapplications of valuing employee stock options in light of the newFAS 123 requirements Due to the new requirements of the Proposed Statement of FinancialAccounting Standards (FAS 123) released by the Financial AccountingStandards Board (FASB)-namely the fact that employee servicesreceived in exchange for equity instruments be recognized infinancial statements-companies are now scrambling to learn how tovalue and expense employee stock options (ESOs). Based on authorDr. Johnathan Mun's consulting and advisory work with the FASBconsulting projects with several Fortune 500 firms, ValuingEmployee Stock Options provides readers with a comprehensive lookat this complex issue. Filled with valuable information on binomial lattice andclosed-form modeling techniques, Valuing Employee Stock Options canhelp financial professionals make informed decisions whenattempting to ascertain the fair-market value of ESOs under the newrequirements. Johnathan Mun, PhD, MBA, MS, CFC, FRM (San Francisco, CA), is VicePresident of Analytical Services at Decisioneering, Inc., themakers of Crystal Ball analytical software. He is also the authorof Applied Risk Analysis (0-471-47885-7), Real Options Analysis(0-471-25696-X), and Real Options Analysis Course (0-471-43001-3),all of which are published by Wiley.

Book Excel Modeling in Investments

Download or read book Excel Modeling in Investments written by Craig W. Holden and published by Prentice Hall. This book was released on 2005 with total page 196 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book with accompanying CD-ROM gives readers the necessary information and skills they'll need to build step-by-step financial models in Excel. Updated coverage keeps this book current and relevant, and practical, real-world examples provide exciting learning opportunities. The book progresses from simple examples to more complex topics, including Portfolio Optimization that uses real data on 20 stocks to calculate the efficient frontier, the tangent line, the weights of the tangent portfolio, and then graph everything; US Yield Curve Dynamics that shows a movie of 30 years of monthly zero-coupon yield curves highlighting the dynamics of the US yield curve history; and a 50-Period Binomial Option Pricing model using a stock volatility that readers can estimate from real data. Other subjects addressed are bonds/fixed income securities; stocks/security analysis; and options/futures/derivatives. An excellent resource tool for security and stock analysts, brokers, and financial planners.

Book Options Profits Using Decision Charts

Download or read book Options Profits Using Decision Charts written by Jon Schiller and published by CreateSpace. This book was released on 2008-10 with total page 207 pages. Available in PDF, EPUB and Kindle. Book excerpt: OPTIONS PROFITS USING DECISION CHARTS JON SCHILLER, PhD This up-to-date book explains in easy to understand terms how sophisticated traders can make money each month (with small risk) and make capital grow by trading in the Index Options Markets using Jon Schiller's Options Trading Software: SelfAdapDTN4 The book recommends the S&P 100 Index Option (OEX) as the best Index Option for trading for reasons given in the book. Also SPY, QQQQ, & 14 Growth Stocks are covered. The book is broken into four parts, with a total-of 12 chapters and two appendices. Part 1 describes the fundamental strategies for capital growth using index option trading and presents several examples of option trading strategies and the algorithms for two basic market indicators. Part 2 describes the spread sheet and chart tools for profitable index option trading and tells what to do when the market undergoes large rises or drops. Part 3 describes the decision charts and six market indicators to help you tell which direction the market is moving and details strategies using out-month options. Part 4 describes a WINDOWS, Excel Software for an IBM compatible Personal Computer available email attachment. These programs and EXCEL spread sheets perform all the tasks needed for profitable index option trading.