Options: Trading Strategy and Risk Management by Simon Vine

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eBay-Artikelnr.:267455959866

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Artikelzustand
Gut: Buch, das gelesen wurde, sich aber in einem guten Zustand befindet. Der Einband weist nur sehr ...
Binding
Hardcover
Product Group
Book
Weight
1 lbs
IsTextBook
No
ISBN
9780471691280
Kategorie

Über dieses Produkt

Product Identifiers

Publisher
Wiley & Sons, Incorporated, John
ISBN-10
0471691283
ISBN-13
9780471691280
eBay Product ID (ePID)
30902201

Product Key Features

Book Title
Options : Trading Strategy and Risk Management
Number of Pages
400 Pages
Language
English
Topic
Decision-Making & Problem Solving, Investments & Securities / Options, Investments & Securities / General
Publication Year
2005
Illustrator
Yes
Genre
Business & Economics
Author
Simon Vine
Book Series
Wiley Finance Ser.
Format
Hardcover

Dimensions

Item Height
1.4 in
Item Weight
0 Oz
Item Length
9.3 in
Item Width
6.4 in

Additional Product Features

Intended Audience
Trade
LCCN
2004-016488
Dewey Edition
22
Series Volume Number
288
Dewey Decimal
332.64/53
Table Of Content
Foreword.Introduction.PART ONE: Basic Knowledge.CHAPTER 1: Basic Terms.CHAPTER 2: Drawing Option Charts.CHAPTER 3: Introduction to Option Strategies.CHAPTER 4: Put/Call Parity.PART TWO: Option Strategies.CHAPTER 5: Basic Option Strategies.CHAPTER 6: Complex Option Strategies.CHAPTER 7: Practical Steps in Creating and Designing Strategies.CHAPTER 8: Delta.CHAPTER 9: Spreads.CHAPTER 10: Utilization of Options for Spot/Cash Trading.PART THREE: Risk Parameters of Options.CHAPTER 11: Introduction: Volatility and the "Greeks" (Theta, Vega, and Gamma).CHAPTER 12: Volatility.CHAPTER 13: Vega.CHAPTER 14: Theta.CHAPTER 15: Gamma.CHAPTER 16: Impact of Interest Rates on Options Pricing and Strategies.CHAPTER 17: Dynamic Option Hedging.CHAPTER 18: Summing Up.CHAPTER 19: Introduction to Exotic Options.CHAPTER 20: Advanced Exotic Options Strategies.PART FOUR: Market Support (Market Making).CHAPTER 21: Market Making: Price Support of the Market.CHAPTER 22: Introduction to Options Portfolio Management.PART FIVE: Hedging Market Risk Reduction for Producers and Consumers.CHAPTER 23: Hedging with Options.CHAPTER 24: Advanced Hedging Strategies.PART SIX: Credit Risk Analysis.CHAPTER 25: Forward and Settlement Risks in Spot, Forward, and Nondeliverable Forward Deals.CHAPTER 26: Risks of Settlement on Option Deals.CHAPTER 27: Credit Risk of Option Strategies.CHAPTER 28: Credit Risk of Exotic Options.CHAPTER 29: Credit Risk of Combined Positions: Option-Spot/Forward.PART SEVEN: Market Risks Management.CHAPTER 30: Typical Mistakes of Options Risk Control.CHAPTER 31: Recommended Approach to Risk Management Methodology.PART EIGHT: Psychology of Trading.CHAPTER 32: Personal Factors in Risk Evaluation.CHAPTER 33: Self-Control of Psychological Factors when Investing.CHAPTER 34: Problems with Standard Methods of Risk Minimization.Conclusion.APPENDIX A: Options: Mathematical Models.APPENDIX B: "Greeks"-Parameters Used in Portfolio Management.APPENDIX C: American Options: Options on Futures, Currencies, Commodities, Equities, and Bonds.Notes.Glossary.Bibliography.Index.
Synopsis
Options "This is a clear and pedagogical book written with the cut-to-the-chase mindset of the practitioner and devoid of the academic complications. Vine sees derivatives from the standpoint of the trader, which is rare and refreshing." -- Nassim Nicholas Taleb author of Fooled by Randomness "Simon Vine's new work, Options: Trading Strategy and Risk Management, combines a first rate introduction to options with an in-depth review of the complexities of the subject. An extremely helpful book that should be of great benefit both to the uninitiated and to the many 'professionals' who think they understand derivatives." -- Aleksandr M. Knaster, CEO, Alfa Bank Written by Simon Vine, a seasoned trader with over ten years of experience on Wall Street, Options: Trading Strategy and Risk Management offers a step-by-step approach to trading, hedging, and investing with options, and shares the key concepts and essential theories behind the successful use of options in today's markets. Comprised of short, to-the-point chapters that include challenging Q&A sections, this invaluable resource will show you how to avoid expensive mistakes and secure your success in this arena., By their very nature, options require both a theoretical understanding of pricing and razor sharp intuition about risk and reward to deploy them successfully.   Written by a practitioner with 10 years experience in Trading, Options offers a step-by-step approach to trade, hedge and invest in options., The key concepts and essential strategies behind the successful use of options Written by Simon Vine, a seasoned trader who has over ten years of experience on Wall Street under his belt, Options is the definitive book on options for traders, investors, and risk professionals. Options provides a step-by-step approach to trading, hedging, and investing using options, and shares the key concepts essential to successful options use. Options also explores how to use a wide variety of options strategies and shows readers how to select the strategy that best fits their own psychological risk profile. Filled with real-world examples and proven strategies, this invaluable resource will be of interest to all professionals-and newcomers-who'd like to exploit options for strategic advantage, risk management, or profit. Simon Vine (Moscow, Russia) is deputy head of the investment banking division at Alfa Bank, the largest private financial institution in Russia. He holds an MBA from Columbia Business School and a BA from the Institute for Finance and Economics in Moscow.
LC Classification Number
HG6024.A3V56 2005

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