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cactiman
 

Registered: Dec 2011
Posts: 962

 

09-16-12 04:47 PM

One of the great things about Options is you know exactly how much your Maximum Loss can be with every trade.
You buy a Call for $400, and the most you can lose is $400.
With a $20K account that trade risks 2% of your principal, and with a $10K account it risks 4% of your principal.

But what about Total Account Risk?
How many of these -2% or -4% trades should one have on at once?

One ET Poster told me he only risks 10% of his principal at any one time.
I'm currently risking 80% of my principal, but will be cutting that down to 50%.

How does everyone else handle this?

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oldnemesis
 

Registered: Sep 2012
Posts: 214

 

09-16-12 04:57 PM

How does everyone else handle this??

I use diversification to help manage risk.

e.g. If I have a mix of bullish and bearish trades (e.g. bull call spreads + bear put spreads etc)
Plus I diversify by sector: utilities, retail, metals, financial etc.

plus add in positions on inverse ETF's like SH

Then the effect of wide market swings will be much less. If you are not playing direction but are looking for time decay then make your portfolio market neutral...then you won't care what the market does.

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eurotrasher
 

Registered: Aug 2012
Posts: 216

 

09-16-12 04:57 PM


Quote from cactiman:

I'm currently risking 80% of my principal, but will be cutting that down to 50%.



-10

close the thread.

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cactiman
 

Registered: Dec 2011
Posts: 962

 

09-16-12 05:25 PM


Quote from eurotrasher:

-10

close the thread.



Why?
Can you go be a snide little Troll somewhere else please?
Thanks.

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Daring
 

Registered: Aug 2012
Posts: 676

 

09-16-12 05:26 PM


Quote from cactiman:

One of the great things about Options is you know exactly how much your Maximum Loss can be with every trade.
You buy a Call for $400, and the most you can lose is $400.
With a $20K account that trade risks 2% of your principal, and with a $10K account it risks 4% of your principal.

But what about Total Account Risk?
How many of these -2% or -4% trades should one have on at once?

One ET Poster told me he only risks 10% of his principal at any one time.
I'm currently risking 80% of my principal, but will be cutting that down to 50%.

How does everyone else handle this?



Joker thread.

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diaoptions
 

Registered: Aug 2011
Posts: 392

 

09-16-12 05:28 PM


Quote from cactiman:

One of the great things about Options is you know exactly how much your Maximum Loss can be with every trade.
You buy a Call for $400, and the most you can lose is $400.



And the common one line description of options reinforces that MISCONCEPTION.

"Call options give the buyer the right, but not the obligation, to purchase an underlying asset."

Perhaps you should read this post. http://www.elitetrader.com/vb/showt...&threadid=51251


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