maybe they now have a different long-term vision? and found better ways to work their wealth in more diversified and sustainable businesses while...
you have a good sense of humor :D :D :D
nice podcast.. Michael made some interesting argument about luck and paradox of skill...
is your original trade "attractive" enough in current market condition? what kind of bwb you're talking about? there a LOT of ways to adjust your...
what do you mean by "easier to adjust"? let's use @hweeks example and assume GPRO is super liquid thanks before :]
if i were alibaba, i will offer $10B to snapchat (upper limit: $15B) if managed properly, it can bring a lot advertising revenues they just need a...
[IMG] this is not a top calling just interested to see how price react around this level have fun :D
ok, i got it you are using 100 stocks as your base for comparison while i'm comparing: (2 calls + -100 stocks) with (2 calls + 2 puts) since the...
this market rally is not that unusual, it happened in the past if you check yearly time frame, we are having the same angle, repeating pattern and...
can you give one example for us to learn? thanks :]
trading decisions (scaling, adjustment, closing) should be made before you start the trade just like a saying: "Every battle is won (or lost)...
"offset" is not the word you want to use here.. put+call straddle is more responsive to underlying price changes as i said, gamma is your friend...
besides margin requirement, stock has a fixed delta, while options has a dynamic delta, gamma, .. so they will have a different delta number after...
you can use a further expiration and modify your trading setup to suit low volatility season as a good options trader you should be able to...
indeed.. IB has over-simplified margin calculation they don't even bother if you have negative-correlated products in the same sector given their...
@Serenity investing 75% of net worth into "unlisted property funds" requires a great deal of conviction what are the risks involved for this...
traders can have different risk preferences and approaches on how to manage their option book specific guidelines can be used if you trade...
sle, can people get tight markets with front month options? eg. i want to buy spreads on TLT with european-style version just curious how wide...
if spot forex is illegal, what about currency futures? or can you adapt your trading style in different market? is establishing a company so...
did Taleb suggest anything on how to decrease tail risk? and how is your approach to address portfolio's tail risk? thanks
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