The Volatility Edge in
Options Trading: New Technical Strategies for Investing in
Unstable Markets (Hardcover)
by Jeff Augen (Author)
"Jeff's analysis is unique, at least
among academic derivatives textbooks. I would definitely use
this material in my derivatives class, as I believe students
would benefit from analyzing the many dimensions of Jeff's
trading strategies. I especially found the material on trading
the earnings cycle and discussion of how to insure against
price jumps at known events very worthwhile." --DR. ROBERT
JENNINGS, Professor of Finance, Indiana University Kelley
School of Business "This is not just another book about options
trading. The author shares a plethora of knowledge based on 20
years of trading experience and study of the financial markets.
Jeff explains the myriad of complexities about options in a
manner that is insightful and easy to understand. Given the
growth in the options and derivatives markets over the past
five years, this book is required reading for any serious
investor or anyone in the financial service industries."
--MICHAEL P. O'HARE, Head of Mergers & Acquisitions,
Oppenheimer & Co. Inc. "Those in the know will find this
book to be an excellent resource and practical guide with
exciting new insights into investing and hedging with options."
--JIM MEYER, Managing Director, Sasqua Field Capital Partners
LLC "Jeff has focused everything I knew about options pricing
and more through a hyper-insightful lens! This book provides a
unique and practical perspective about options trading that
should be required reading for professional and individual
investors." -- ARTHUR TISI, Founder and CEO,
EXA Infosystems; private investor and options trader In The
Volatility Edge in Options Trading, leading options trader Jeff
Augen introduces breakthrough strategies for identifying subtle
price distortions that arise from changes in market volatility.
Drawing on more than a decade of never-before-published
research, Augen provides new analytical techniques that every
experienced options trader can use to study historical price
changes, mitigate risk, limit market exposure, and structure
mathematically sound high-return options positions. Augen
bridges the gap between pricing theory mathematics and market
realities, covering topics addressed in no other options
trading book. He introduces new ways to exploit the rising
volatility that precedes earnings releases; trade the monthly
options expiration cycle; leverage put:call price parity
disruptions; understand weekend and month-end effects on
bid-ask spreads; and use options on the CBOE Volatility Index
(VIX) as a portfolio hedge. Unlike conventional guides, The
Volatility Edge in Options Trading doesn't rely on
oversimplified positional analyses: it fully reflects ongoing
changes in the prices of underlying securities, market
volatility, and time decay. What's more, Augen shows how to
build your own customized analytical toolset using low-cost
desktop software and data sources: tools that can transform his
state-of-the-art strategies into practical buy/sell guidance.
An options investment strategy that reflects the markets'
fundamental mathematical properties Presents strategies for
achieving superior returns in widely diverse market conditions
Adaptive trading: how to dynamically manage option positions,
and why you must Includes precise, proven metrics and rules for
adjusting complex positions Effectively trading the earnings
and expiration cycles Leverage price distortions related to
earnings and impending options expirations Building a
state-of-the-art analytical infrastructure Use standard desktop
software and data sources to build world-class decision-making
tools
From the Back Cover
‘…a brilliant and thoroughgoing
presentation. Five Stars, Highly Recommended.
John A. Sarkett, Stocks, Futures, and Options
Magazine..
“Jeff’s analysis is unique, at least
among academic derivatives textbooks. I would definitely use
this material in my derivatives class, as I believe students
would benefit from analyzing the many dimensions of Jeff’s
trading strategies. I especially found the material on trading
the earnings cycle and discussion of how to insure against
price jumps at known events very worthwhile.”
—DR. ROBERT
JENNINGS, Professor of Finance, Indiana
University Kelley School of Business
“This is not just another book about
options trading. The author shares a plethora of knowledge
based on 20 years of trading experience and study of the
financial markets. Jeff explains the myriad of complexities
about options in a manner that is insightful and easy to
understand. Given the growth in the options and derivatives
markets over the past five years, this book is required reading
for any serious investor or anyone in the financial service
industries.”
—MICHAEL P.
O’HARE, Head of Mergers & Acquisitions,
Oppenheimer & Co. Inc.
“Those in the know will find this book
to be an excellent resource and practical guide with exciting
new insights into investing and hedging with options.”
—JIM
MEYER, Managing Director, Sasqua Field
Capital Partners LLC
“Jeff has focused everything I knew
about options pricing and more through a hyper-insightful lens!
This book provides a unique and practical perspective about
options trading that should be required reading for
professional and individual investors.”
—ARTHUR
TISI, Founder and CEO, EXA Infosystems;
private investor and options trader
In The Volatility Edge in Options
Trading, leading options trader Jeff Augen
introduces breakthrough strategies for identifying subtle
price distortions that arise from changes in market
volatility. Drawing on more than a decade of
never-before-published research, Augen provides new
analytical techniques that every experienced options trader
can use to study historical price changes, mitigate risk,
limit market exposure, and structure mathematically sound
high-return options positions. Augen bridges the gap between
pricing theory mathematics and market realities, covering
topics addressed in no other options trading book. He
introduces new ways to exploit the rising volatility that
precedes earnings releases; trade the monthly options
expiration cycle; leverage put:call price parity
disruptions; understand weekend and month-end effects on
bid-ask spreads; and use options on the CBOE Volatility
Index (VIX) as a portfolio hedge. Unlike conventional
guides, The Volatility Edge in Options
Trading doesn’t rely on oversimplified
positional analyses: it fully reflects ongoing changes in
the prices of underlying securities, market volatility, and
time decay. What’s more, Augen shows how to build your own
customized analytical toolset using low-cost desktop
software and data sources: tools that can transform his
state-of-the-art strategies into practical buy/sell
guidance.
An options investment strategy that
reflects the markets’ fundamental mathematical
properties
Presents strategies for achieving
superior returns in widely diverse market conditions
Adaptive trading: how to dynamically
manage option positions, and why you must
Includes precise, proven metrics and
rules for adjusting complex positions
Effectively trading the earnings and
expiration cycles
Leverage price distortions related to
earnings and impending options expirations
Building a state-of-the-art
analytical infrastructure
Use standard desktop software and
data sources to build world-class decision-making tools
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