Advanced Straddles
Advanced version of Straddles to manage Volatility and Time decay. Can be used to generate income while reaping all the benefits of the Straddle.
The Straddle is a great Volatility strategy, so it works best when the Implied Volatility increases after the trade is put on. If this does not happen, then the trade can suffer. In particular, the strategy becomes vulnerable if the stock makes a bullish move because of the relationship between bullish moves and reduction in Volatility. What can we do to mitigate these risks. And how long should we be holding this trade because we are faced with “double time decay”. How can we neutralize this double time decay effect. We put a real trade on Priceline (PCLN) and make the necessary adjustments. BUSY PROFESSIONAL SERIES
What you will master
- Which expiry series should we choose for a straddle
- What are the plus points with a Straddle
- What are the minus points of a Straddle
- What is the double time decay negative
- How will the Straddle work out for bullish and bearish moves
- What is the relationship between changes in volatility and stock movement
- How can we tackle the minus points of the straddle
- Can we optimize a straddle to mitigate the negatives
- How long should we hold the straddle
- Which move is better in a straddle – bearish or bullish
- How to neutralize a bullish move with Volatility
Class Curriculum
Advanced Straddles
- Adv-Straddle-PCLN-1 (9:52)
- Adv-Straddle-PCLN-2 (7:55)
- Adv-Straddle-PCLN-3 (7:55)
Your Instructor
Hari Swaminathan is the founder of www.OptionTiger.com , a cutting-edge Options education and trading company based in Washington D.C. Hari is an entrepreneur, everyday person and a self-taught Options expert for over 8 years. Hari has a Bachelors degree in Engineering from India, and MBA degrees from Columbia University in NYC and London Business School in the U.K. You can read more about Hari on his Linkedin profile.
Options are powerful, but they have a learning curve. Every course on OptionTiger breaks down all the complexities of Options in simple language that anyone can understand. In every strategy, you’ll learn how to navigate successfully through good and bad situations. Options provide the best way to to take advantage of bull markets, bear markets and everything in between. Options are a mathematical and strategic skill much like Chess, and no amount of technological advances can make this skill obsolete. Because the fundamentals of Options are never going to change. Welcome to the world of Options, THE most fascinating instrument in the financial markets.
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