Option Traders Hedge Fund 2: Strategies and Portfolio Management episode artwork

EPISODE · Nov 30, 2024 · 22 MIN

Option Traders Hedge Fund 2: Strategies and Portfolio Management

from The Gist Talk · host kw

This episode details option trading strategies for a hedge fund, focusing on volatility as the primary determinant of success. It explains various option strategies, including vertical spreads, iron condors, iron butterflies, and calendar spreads, providing specific conditions for their use and risk management techniques. The excerpt emphasizes understanding implied volatility's three dimensions—ATM options price, volatility skew, and term structure—to identify mispriced options and maximize profitability. A sample portfolio, TOMIC 1.0, illustrates the practical application of these strategies, highlighting trade selection, risk management, and execution as crucial components of successful option trading. The ultimate goal is consistent profitability through active management and disciplined risk control.

Episode metadata supplied by the publisher feed · Published Nov 30, 2024

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Option Traders Hedge Fund 2: Strategies and Portfolio Management

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