OptionsUniversity Options Mastery Series Videos 2009. Watch
Streaming Online Video Course for for ipod, download to your PC
over 20 hours of jammed packed options mastery techniques all
divided up into 27 video’s. You’ll be able to learn at
your own pace. You won’t have me barking at you about your
homework assignments, and studying your terminology.
Here are some of the other skills you’ll unlock in the
New 2009
Options Trading Mastery Series…
Module #1 ( 1-5):
Option Essentials
An education in Option Theory must be
approached in the same way an office building is built. The first
thing is to build a strong, solid and sound foundation. Option
essentials take you through the myriad of terms and concepts that
allow you build the foundation upon which you will learn about
options the right way.
All of the basic definitions (option, put,
call, strike, expiration, assignment, etc.) will be defined and the
option pricing model (the root of option valuation) will be
explored. The exploration of the model is the best way to
understanding how an options price is derived and how options react
to changes in market variables.
In this module, you will learn…
-
Why options trading is the only true form of
HEDGING the stock trading arena. Once you know why and
how… not only will your money be safe…
you’ll be able to apply these simple-to-learn strategies
for the next 20-30-and 40 years!
-
How to avoid losing your shirt overnight while you
sleep! Unfortunately it’s happened…
but… you’ll now be able to prevent it If you follow
this one Master tactic.
-
How to master trading options. This allows you to
skip all the hype of products that claim “you’ll be an
expert overnight.”
-
Simple plan that allows you to really understand options
trading the way floor traders had to know. They are a
dying breed… but they knew their craft. Here’s your
chance to “crawl” inside their minds.
-
Why the OCC (Options Clearing Council) is the mediator
between traders and how this will protect your money like
Fort Knox!
-
How the get the
maximum profit
solely based on the options architecture!
Understanding this, is like getting 10 years of experience crammed
into 20 minutes
-
The number one biggest public misconception about options
trading. If you don’t know this myth…
you’ll fall victim to every charlatan out there distributing
their latest “scheme” about options trading.
-
Why mutual funds are more risky than options
trading… and what you can do to increase the bottom
line of your portfolio.
-
Why options strategies will protect you 24 hours a day, 7
days a week,
365 days a year… guaranteed! Just
“knowing” you have real portfolio protection allows you
to sleep at night because your assets are PROTECTED!
-
The number one key to understanding how to trade
options. You need even before you start! If you
don’t have this simple little key… your options
trading is doomed, and you won’t have a clue why.
-
How the pricing model of options trading
functions. This allows you to understand, at an elementary
level… “How you’re going to profit from
options!”
-
Why the nature of an option reveals the potential profit
and risk scenario. This is key insight (one you
don’t want to do without!) to be an independent trader of
options for the rest of your life.
-
How to follow the “experts” advice and
“know the math.” It’s actually simpler
than most explain. You’ll be taught the same way I explained
it to Wall Street insiders, but the real key is that
you’ll grasp how it will profit you, in less than 10
minutes!
-
Why the “meat” is the best chance of where the
stock is going to finish. Once you know the final landing
place of a stock you’ll know the most profitable place to
trade. (This is worth the price of course alone!)
-
How to determine whether or not your option is going to
doom your portfolio. If it’s in this zone in the
pricing model… your walking on a tight rope in hurricane
force winds! And the worst part is… there’s no
net!
-
Why a common pricing model from the 1970’s
has one inherent flaw and how to avoid a potential disaster from
pricing an option using this model.
-
How an extremely accurate approach could actually cost you
money just because it won’t cooperate with you when
you want it to.
-
Why one pricing model expresses better integrity over
time
BUT
has a huge flaw that almost makes it completely obsolete.
If you choose this as your primary pricing model…
you’ll lose only because of this one overlooked fact!
-
Why the “Greeks” are extremely important for
you to understand and grasp on an elementary level.
-
The simplest explanation of the “Greeks” and
how to properly use them. The exact same
“talk” I did in front of a group of rookie options
traders a little over 10 years ago…
and probably the most important option trading insight
you’ll ever learn.
-
Why the “Greeks” are you insurance against
loss. If you have at the very least a basic understanding
of “advanced” canned strategies but don’t know
your “Greeks,” you can still lose… and lose
big… because
your “Greeks” are your insurance against a bad
decision.
-
An elementary graphing exercise that charts for
you how a stock is going to act and its volatility
movements.
-
The number one key strategy to options trading.
It’s simple, powerful, yet commonly overlooked… and
now you’ll grasp it, use it, and maximize its potential for
the betterment of your portfolio, family, and future.
-
How to guarantee profit 75-82% of the time on
short term buy/sell strategies. (You’ll love this when you
learn how to use this tactic.)
-
How to avoid buying and selling at the wrong time.
If you don’t understand this one simple strategy…
you’ll be paying double the commission costs that could
have gone into your pocket.
-
How to generate profits when everyone else is waiting for
something to happen. It’s proactive and simple, and
you’ll feel great when everyone else looks down because they
didn’t DO what you know to DO!
-
How to analyze volatility and exploit promising
trades. You won’t have to worry yourself about
whether or not you made the right choice once you know this options
trading principle.
You’ll rest assured knowing you’ll profit any way
the tables turn…
Module #2
:
Option
Fundamentals
In this class, we begin to study the two types
of option: calls and puts. You will learn how calls and puts
function and how they can be used individually. The Greek
sensitivities of both calls and puts will be investigated.
Further, we start to examine how calls and
puts of different months and strikes are connected with each
other.
Finally, we look at how synthetic positions
are constructed and how they help to reveal the secret
relationships that bind all calls and puts together.
In this module, you will learn…
-
How to generate unlimited
income from one type of Call option. It seems unfair but
it’s not. It’s something us floor traders did before
everything went computerized, and we became obsolete.
The only problem is, now just a few people know it because
there are very few experts left. (But you’ll get to know it,
too!)
-
One simple strategy you’ll be happy to risk your
money in. It sounds crazy but after you learn it…
not only will you do it, you’ll write and thank me I revealed
it to you.
-
How to create synthetic long calls. And simple
ways to validate them.
-
One secret about reversals and conversions people commonly
overlook. If you know it… you’ll profit.
It’s that simple. But if you don’t you’ll get
caught thinking you’re making a wise decision.
-
A simple cross cancellation that could be “money in
your pocket” based on one little known idea.
-
How to double your money using a simple formula.
Yes it’s really that easy and that profitable. (It’s
going to blow your mind how easy it is.)
Module #3 :
Basic Option
Strategies
With the essentials and fundamental now fully
under your belt, it is time to learn about the basic strategies.
See how buy-writes, sell-writes, protective puts, synthetic puts
and collars work to enhance your profits and hedge your risk.
Each strategy will be defined and explained in
detail. The maximum profits, maximum loss, risks and rewards of
each strategy will be explored with examples showing how the
strategy will perform under a variety of changing variables.
Finally, the ?when to use? and all important ?how to close?
procedures will be discussed.
In this module, you will learn…
-
Which put provides maximum
protection for a short stock position. After you grasp
this call your travel agent…
because you’ll want to take your profits, pay the capital
gains tax and take a vacation!
-
How to take advantage of aggressive down side
movement. This gives you the ability to profit in a bear
and bull market. Either way, you come out on top.
-
One bullish strategy that by nature gives you a better
profit scenario. (This is one powerful strategy you need
to learn before you
even think about trading.)
-
How to collect money in a stagnant stock. No
motion has to be made (which is about ?’s of the time) to
profit from this strategy.
-
Which type of stock to buy covered calls on that virtually
eliminates all risk. You’ll never again worry about
your decision making process. You’ll get it the first time
once you know the key to this process.
Module #4 :
Advanced Option
Strategies
Now that you have mastered the basic option
strategies, it is time to learn about the advanced strategies. The
advanced strategies differ from the basic strategies in the fact
that advanced strategies feature options teamed with other options
as opposed to options teamed with stock.
In this class, see how vertical spreads,
calendar spreads, straddles, strangles, butterflies and condors and
collars offer you large profit potential in a hedged position with
lower entry dollar costs.
Each strategy will be defined and explained in
detail. The maximum profits, maximum loss, risks and rewards of
each strategy will be explored with examples showing how the
strategy will perform under a variety of changing variables.
Finally, the ?when to use? and all-important ?how to close?
procedures will be discussed.
In this module, you will learn…
-
One strategy that made
several traders MILLIONS when the market continually fell
in a downward spiral. This type of information allows you to hedge
your portfolio no matter what the market conditions are.
-
Which strategy provides you with maximum protection for
long stock
positions, protect on long runs, and gives maximum
downside profit protection.
-
Save your cash! How to lock in profits and protect
them without having to spend a lot of money to do so.
-
How to avoid paying the high percentages of short term
capital gains tax and only have to pay long term (lower
percentage) capital gains tax.
-
One strategy that reveals a controlled fixed known amount
of loss. This allows you to make quick BIG profits and
control big losses. It’s a numbers game.
You make $3… and lose $1… still doubling your
money in minutes!
And that’s just the beginning. I realize
everybody may think they know the basics of options… but
from my experience it’s just not true.
It’s not your fault though, you may have thought you were
getting a true veteran’s insight, but in fact you
didn’t.