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.
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The Definitive Options Guide for Institutional Investors
Portfolio managers must make decisions that are conservative enough to minimize losses and fit institutional constraints—but they are also expected to match or beat inflation and taxes. Michael C. Thomsett shows how to use options to meet both challenges, augmenting net profits while also safeguarding equity.
You’ll learn how to integrate fundamental and technical analysis to widen your perspective on value and risk; protect paper profits while improving agility in shifting markets; prudently apply alternatives to stock purchase; and create advanced LEAPS strategies that still fit conservative profiles. Each technique is demonstrated using a consistent, easy-to-understand model portfolio.
To protect portfolios in volatile and uncertain markets, institutional investors must hedge losses, create new income sources, and reduce risk. Now, in this extensively updated and expanded guide, renowned options expert Michael C. Thomsett helps you achieve all these goals simultaneously.
Thomsett shows how to systematically exploit powerful, carefully chosen options strategies to dramatically increase overall returns while managing risks within your institution’s limits. He discusses covered call writing on carefully selected stocks, contingent purchase strategies, and powerful “combination” strategies that produce cash to bolster current income.
This edition adds important coverage of risk evaluation, plus a new chart-based analytical method relying on reversal signals as an alternative to volatility analysis. Thomsett also introduces two powerful new strategies for optimizing returns and controlling risk: the 1-2-3 Iron Butterfly and Dividend Collar.
Michael C. Thomsett has published more than 80 books on investing and business topics, including several other FT/Prentice Hall projects (The Options Stock Profits: Getting to the Core, Put Option Strategies, The Options Trading Body of Knowledge, and Trading with Candlesticks),and many other books concerning options and stock market investing. His best-selling book Getting Started in Options is in its ninth edition and has sold more than 300,000 copies. Thomsett is also the cofounder of the education sites ThomsettOptions.com and ThomsettStocks.com. He lives in Nashville, Tennessee.
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Book Description Ft Pr, 2014. Hardcover. Book Condition: Brand New. 322 pages. 9.25x6.25x1.00 inches. In Stock. Bookseller Inventory # zk0133811662
Book Description FT Press, 2014. Hardcover. Book Condition: New. Bookseller Inventory # P110133811662