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Option Strategies for Earnings Announcements

Option Strategies for Earnings Announcements PDF Author: Ping Zhou
Publisher: FT Press
ISBN: 0132947404
Category : Business & Economics
Languages : en
Pages : 258

Book Description
By trading on corporate earnings, investors can reliably profit in both up and down markets, while avoiding market risk for nearly the entire quarter. In this book, two leading traders and portfolio managers present specific, actionable techniques anyone can use to capture these sizable profits. Ping Zhou and John Shon have performed an unprecedented empirical analysis of thousands of stocks, reviewing tens of millions of data points associated with option prices, earnings announcement returns, and fundamentals. Their massive analysis has identified consistent opportunities associated with focusing on the magnitude of the market’s reaction to earnings, not its direction. Option Trading Set-Ups for Corporate Earnings News offers concrete guidance for improving the likelihood of making correct forecasts, and managing the risks of incorrect forecasts. It introduces several ways to exploit option trading opportunities around earnings news, discuss crucial issues that most retail investors haven’t considered, and explore aspects of earnings-related option trading that have never been empirically examined and documented before. For example, they identify hidden patterns and potential opportunities based on valuation, industry, volatility, analyst forecasts, seasonality, and trades that immediately follow earnings announcements. Simply put, trading on earnings reports offers immense profit opportunities, if you know how. This book provides incontrovertible facts and detailed strategies, not just theories and anecdotes!

Option Strategies for Earnings Announcements

Option Strategies for Earnings Announcements PDF Author: Ping Zhou
Publisher: FT Press
ISBN: 0132947404
Category : Business & Economics
Languages : en
Pages : 258

Book Description
By trading on corporate earnings, investors can reliably profit in both up and down markets, while avoiding market risk for nearly the entire quarter. In this book, two leading traders and portfolio managers present specific, actionable techniques anyone can use to capture these sizable profits. Ping Zhou and John Shon have performed an unprecedented empirical analysis of thousands of stocks, reviewing tens of millions of data points associated with option prices, earnings announcement returns, and fundamentals. Their massive analysis has identified consistent opportunities associated with focusing on the magnitude of the market’s reaction to earnings, not its direction. Option Trading Set-Ups for Corporate Earnings News offers concrete guidance for improving the likelihood of making correct forecasts, and managing the risks of incorrect forecasts. It introduces several ways to exploit option trading opportunities around earnings news, discuss crucial issues that most retail investors haven’t considered, and explore aspects of earnings-related option trading that have never been empirically examined and documented before. For example, they identify hidden patterns and potential opportunities based on valuation, industry, volatility, analyst forecasts, seasonality, and trades that immediately follow earnings announcements. Simply put, trading on earnings reports offers immense profit opportunities, if you know how. This book provides incontrovertible facts and detailed strategies, not just theories and anecdotes!

Exploiting Earnings Volatility

Exploiting Earnings Volatility PDF Author: Brian Johnson
Publisher:
ISBN: 9780996182300
Category : Investment analysis
Languages : en
Pages : 256

Book Description
Exploiting Earnings Volatility introduces an innovative new framework for evaluating, optimizing, and trading option strategies to profit from earnings-related pricing anomalies. Leveraging his extensive background in option-pricing and decades of experience in investment management and trading, Brian Johnson developed this inventive approach specifically to design and manage option earnings strategies. In an Active Trader article titled "Modeling Implied Volatility," Mr. Johnson introduced a formula for aggregating discrete volatility measures into a single metric that can be used with conventional option pricing formulas to accurately model implied volatility before and after earnings announcements. The practical application of this formula has profound implications for option trading and strategy development. Exploiting Earnings Volatility is written in a clear, understandable fashion and explains how to use this novel approach to 1) solve for the expected level of earnings volatility implicitly priced in an option matrix, 2) calculate historical levels of realized and implied earnings volatility, 3) develop strategies to exploit divergences between the two, and 4) calculate expected future levels of implied volatility before and after earnings announcements. Furthermore, Exploiting Earnings Volatility also includes two Excel spreadsheets. The Basic spreadsheet employs minimal input data to estimate current and historical earnings volatility and utilizes those estimates to forecast future levels of implied volatility around earnings announcements. The Integrated spreadsheet includes a comprehensive volatility model that simultaneously integrates and quantifies every component of real-world implied volatility, including earnings volatility. This powerful tool allows the user to identify the precise level of over or undervaluation of every option in the matrix and to accurately forecast future option prices and option strategy profits and losses before and after earnings announcements. The Integrated spreadsheet even includes an optimization tool designed to identify the option strategy with the highest level of return per unit of risk. Written specifically for investors who have familiarity with options, this practical guide begins with a detailed review of volatility and an explanation of the aggregate implied volatility formula. A separate chapter provides a conceptual and mathematical explanation of "True Greeks," accurate measures of risk and return sensitivity that reflect the real-world behavior of options. New option Greeks that are specific to earnings announcements are also introduced. Four chapters explain how to use the Basic and Integrated spreadsheets and two chapters document trade examples that use actual market data and analytical results from both spreadsheets to design a unique option strategy to exploit earnings-related pricing and volatility anomalies. The final chapter examines practical considerations and prospective applications of these innovative new tools. This book introduces a new analytical framework that may sound complicated at first, but is really quite intuitive. The formulas presented in the book are limited to basic high-school algebra. Mathematical relationships are also explained intuitively and depicted graphically. Most important, you will not need to perform any of these calculations manually. Exploiting Earnings Volatility includes a link to Excel spreadsheets that perform all of the calculations described in the book. The unique price and volatility behavior of options before and after discrete earnings announcements is an enigma to most option traders, even to many professionals. The aggregate volatility formula is relatively simple, but it has profound implications. When integrated with a real-world volatility model, it offers unique insights into earnings volatility, price behavior, option strategy construction, and prospective value-added opportunities.

Trading on Corporate Earnings News

Trading on Corporate Earnings News PDF Author: John Shon
Publisher: FT Press
ISBN: 0132615851
Category : Business & Economics
Languages : en
Pages : 225

Book Description
Profit from earnings announcements, by taking targeted, short-term option positions explicitly timed to exploit them! Based on rigorous research and huge data sets, this book identifies the specific earnings-announcement trades most likely to yield profits, and teaches how to make these trades—in plain English, with real examples! Trading on Corporate Earnings News is the first practical, hands-on guide to profiting from earnings announcements. Writing for investors and traders at all experience levels, the authors show how to take targeted, short-term option positions that are explicitly timed to exploit the information in companies’ quarterly earnings announcements. They first present powerful findings of cutting-edge studies that have examined market reactions to quarterly earnings announcements, regularities of earnings surprises, and option trading around corporate events. Drawing on enormous data sets, they identify the types of earnings-announcement trades most likely to yield profits, based on the predictable impacts of variables such as firm size, visibility, past performance, analyst coverage, forecast dispersion, volatility, and the impact of restructurings and acquisitions. Next, they provide real examples of individual stocks–and, in some cases, conduct large sample tests–to guide investors in taking advantage of these documented regularities. Finally, they discuss crucial nuances and pitfalls that can powerfully impact performance.

Trend Trading for a Living, Chapter 15 - Options Strategies: Neutral

Trend Trading for a Living, Chapter 15 - Options Strategies: Neutral PDF Author: Thomas K. Carr
Publisher: McGraw Hill Professional
ISBN: 007173094X
Category : Business & Economics
Languages : en
Pages : 30

Book Description
The following is a chapter from Trend Trading for a Living. In it, author and founder of Befriend the Trend Trading, Dr. Thomas Carr gives you all the technical skills, market-trend knowledge, and trading confidence you need to "trade for a living." A self-made trader himself, Carr walks you through every step of the process, from selecting the right online broker and choosing the best supporting software to "eyeballing" real setups on stock charts and leveraging your portfolio with options.

The Option Trader Handbook

The Option Trader Handbook PDF Author: George Jabbour
Publisher: John Wiley & Sons
ISBN: 047166829X
Category : Business & Economics
Languages : en
Pages : 354

Book Description
Strategies, tools, and proven solutions for minimizing risk and volatility in option trading The Option Trader Handbook helps readers better understand trade management by providing a thorough compilation of the numerous trade adjustments, hedges, and enhancements that can be made to stock or option positions using derivatives. Dr. George Jabbour is the Director of the Master of Science in Finance (MSF) Program at The George Washington University as well as a professor of derivatives, financial engineering and investments. Dr. Jabbour has published various articles in professional financial journals and regularly speaks at conferences in the United States and abroad regarding option pricing models, financial management, and risk management. He also is a managing director of Global Asset Investments, LLC, an asset management and derivative consulting firm, and CEO of Global Finance Associates, Inc., a financial training, consulting and research company. Dr. Jabbour regularly conducts seminars in option trading and valuation, and is a very active equity and derivative trader. Philip Budwick has a law degree and a Master of Science in Finance and frequently writes articles on option trading strategies and investments. Mr. Budwick is a managing director of Global Asset Investments, LLC and a managing member of Budwick InvestmentGroup, LLC, an option trading and investment software firm. He also conducts discussion groups and offers option investment training through Option Trading Coach, LLC and is an active option and stock trader.

Trading Options Greeks

Trading Options Greeks PDF Author: Dan Passarelli
Publisher: John Wiley & Sons
ISBN: 1118133161
Category : Business & Economics
Languages : en
Pages : 375

Book Description
A top options trader details a practical approach for pricing and trading options in any market condition The options market is always changing, and in order to keep up with it you need the greeks—delta, gamma, theta, vega, and rho—which are the best techniques for valuing options and executing trades regardless of market conditions. In the Second Edition of Trading Options Greeks, veteran options trader Dan Pasarelli puts these tools in perspective by offering fresh insights on option trading and valuation. An essential guide for both professional and aspiring traders, this book explains the greeks in a straightforward and accessible style. It skillfully shows how they can be used to facilitate trading strategies that seek to profit from volatility, time decay, or changes in interest rates. Along the way, it makes use of new charts and examples, and discusses how the proper application of the greeks can lead to more accurate pricing and trading as well as alert you to a range of other opportunities. Completely updated with new material Information on spreads, put-call parity and synthetic options, trading volatility, and advanced option trading is also included Explores how to exploit the dynamics of option pricing to improve your trading Having a comprehensive understanding of the greeks is essential to long-term options trading success. Trading Options Greeks, Second Edition shows you how to use the greeks to find better trades, effectively manage them, and ultimately, become more profitable.

Option Trading

Option Trading PDF Author: Euan Sinclair
Publisher: John Wiley & Sons
ISBN: 0470642521
Category : Business & Economics
Languages : en
Pages : 326

Book Description
An A to Z options trading guide for the new millennium and the new economy Written by professional trader and quantitative analyst Euan Sinclair, Option Trading is a comprehensive guide to this discipline covering everything from historical background, contract types, and market structure to volatility measurement, forecasting, and hedging techniques. This comprehensive guide presents the detail and practical information that professional option traders need, whether they're using options to hedge, manage money, arbitrage, or engage in structured finance deals. It contains information essential to anyone in this field, including option pricing and price forecasting, the Greeks, implied volatility, volatility measurement and forecasting, and specific option strategies. Explains how to break down a typical position, and repair positions Other titles by Sinclair: Volatility Trading Addresses the various concerns of the professional options trader Option trading will continue to be an important part of the financial landscape. This book will show you how to make the most of these profitable products, no matter what the market does.

Optioneering - Make $1000's in Extra Income Every Month

Optioneering - Make $1000's in Extra Income Every Month PDF Author: Optioneering Ltd.
Publisher: Optioneering Ltd.
ISBN: 131015967X
Category : Business & Economics
Languages : en
Pages : 139

Book Description
What is the Optioneering Strategy The Optioneering Strategy is an options trading strategy that was developed and perfected over the past 4 1/2 years. The options strategy finds its roots in market statistics and is designed to minimize risk. The fundamental difference between the Optioneering strategy and any other stock or options trading strategy available today is that the Optioneering Strategy is a "Reactive Strategy". Practically all stock picking and option trading strategies (books and websites) are focused on helping investors more accurately "predict" the direction of a stock or the underlying market. With the Optioneering Strategy you don't need to predict which way the market is going to go you just need to react to it. Trying to predict what a stock or the stock market will do tomorrow, next week or next hour is impossible for the average investor. The number of inputs that move the markets on a day to day, hour by hour, minute by minute time frame are impossible to comprehend. Earnings, politics, economic data, geopolitical news, weather, terrorism, commodities, interest rates, the Fed, etc all move the markets. How can anyone possibly predict where the market will go next week, next month or next year with all these variables? Well some people out there claim they can. The spectrum is broad form charlatans who operate websites making ridiculous claims to professional financial advisers. Lets reflect on this for a moment. If you am ill, you see your doctor, you expect with a high degree of confidence that he/she will come to a diagnosis that is accurate and prescribe the necessary medication to see that you get better. How can a financial adviser "diagnose" the markets, a disease with constantly changing symptoms. They may claim they can but I would bet statistically they are no better than flipping a coin. Safety First A key objective of the Optioneering Strategy is to minimize risk. A strategy whereby if a loss were to occur it would not wipe out months of profit or wipe us out completely like so many other option strategies. The basic strategy is founded on establishing setup positions each month that generate a profit consistently. The setups involve a combination of debit calendar spreads and reverse credit calendar spreads. There are 7 basic rules, 4 on setup and 3 for closing. If you follow the rules losses will remain small and profits will be maximized. A lot of other books on option strategies will tell you how the strategies work but they won't tell you how to consistently generate profits by applying them. They still require you to correctly "bet" on market direction. Applying standard option trading strategies in a predictive manner is no better than flipping a coin and runs the risk of generating large losses. Minimal Capital I started with $20,000, but one could easily get started with as little as $5000 to $10,000. The Optioneering Strategy is structured to minimized risk and margin. It is a brilliantly leveraged, yet a well hedged strategy that generates a profit 84% of the time. Over 4 1/2 years I grew $20,000 to over $200,000. During that period I placed 44 trade set ups of which 37 generated a profit and 7 resulted in a loss. The average or 37 monthly profits was $5,350 and the average of 7 monthly losses was $1950. Minimal Time Invested Other than making money saving time is the second best part of the strategy. Most days I spend 1 to 2 minutes a day just checking the market. Really just keeping an eye on it in the event I need to "react" to the market action. On my setup days it takes me about 10 minutes to get my order in and set. That's it! Minimal time invested. I don't need to know the news that drives the market and I don't really care. I only need to react to the market if it moves to prescribed limits we establish with each setup trade. "Getting time back is the best part of the Optioneering Strategy. I can focus on work and spend more time with my family" Less Stress and Anxiety With the Optioneering Strategy you place the exact same type of trades every month at the same time, regardless of what the market has done or is doing. There are a total of 7 rules to follow and they guide you on setting up the trade and exiting the trade. Investment stress and anxiety are rooted in trying to decide if you should buy, sell or hold your positions. With the Optioneering Strategy there is none of that as you have certainly in what to do when entering and exiting every trade. Getting Started Whether you are familiar with options or not the Optioneering Strategy is written with the novice in mind. Not only will it inform you of what you need to know but walks you through every trade placed over the past 4 1/2 years. Every trade contains a chart, historic options chain data and commentary on every trade. The Optioneering Strategy allows you to take control of your financial future. That's what I did and I'm now sharing this experience with you.

Get Rich With Options

Get Rich With Options PDF Author: Lee Lowell
Publisher: John Wiley & Sons
ISBN: 0470126817
Category : Business & Economics
Languages : en
Pages : 242

Book Description
In order to survive and thrive in today's financial markets, you must seriously consider the use of options in your investment endeavors. Options allow you to reap the same benefits as an outright stock or commodity trade, but with less risk and less money on the line. The truth is, you can achieve everything with options that you would with stocks or commodities?at less cost?while gaining a much higher percentage return on your invested dollars. After numerous years as a market maker in the trenches of the New York Mercantile Exchange, few analysts know how to make money trading options like author Lee Lowell. In this well-rounded resource, Lowell shows both stock and commodity option traders exactly what works and what doesn't. Filled with in-depth insight and expert advice, Get Rich with Options provides you with the knowledge and strategies needed to achieve optimal results within the options market. The book quickly covers the basics?how options are priced, strike price selection, the use of Delta, and using volatility to one's advantage?before moving on to the four options trading strategies that have helped Lowell profit in this arena time and again: buying deep-in-the-money call options, selling naked puts, selling option credit spreads, and selling covered calls. Using these strategoes decisively, he says, is the fastest route to riches in the options trading game. Get Rich with Options is packed with real-life examples of actual trades and detailed discussions of how options can be used as a hedging, speculating, or income-producing tool. You'll learn how to set up a home business with the best options trading software, tools, and Web sites. And you'll begin to see options in a whole new light and discover how to become part of a small group of investors who consistently win.

The Bible of Options Strategies

The Bible of Options Strategies PDF Author: Guy Cohen
Publisher: Pearson Education
ISBN: 0131710664
Category : Business & Economics
Languages : en
Pages : 395

Book Description
Presents today's most effective strategies for trading options :how and why they work, when they're appropriate, when they're inappropriate, and how to use each one responsibly and with confidence. This book will help you identify and implement the optimal strategy for every opportunity, trading environment, and goal.