Credit Spread Options Strategies Explained (Top 3 Benefits)

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#optionsstrategy #creditspreads #optionstrading

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There is a typo on "Final Value of Put Credit slide where the SPX price is 4101.26 but should be 4401.26. I was confused for a moment, thought I was losing my mind haha.

Appreciate the information you are putting out there, very helpful the way this is explained.

Thanks

MP-sbuh
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Outstanding Commentary, as usual!! Thank You!!!

jimgeyer
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There's a 3rd adjustment available as well, morphing, where we close the short and ride positive Delta of the long leg if the underlying goes against our credit spread 🤑

bfisher
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One thing lacking here is the best practices for trade management - whether it goes in your favour or against you. What steps should be taken for each case. The entry and exit rules must be clear…not just the concept.

luismarcelino
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The title at 5:00 has the wrong closing price (4101 that should be 4401); Thjese typos gan really get you.

HarryLewinASR
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Excellent video. The only 2 challenges are that at expiration volatility typically spikes and if your short call or put is in the money it can get put to you or called away.

bfisher
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Supposed to be serious learning but I cant help but laugh everytime Seth says “ well think about it” 😂

RedDragonz
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Узнал много нового про альткоины. Крутые перспективные монеты.

Gitmem
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If both contracts are in the money before expiration
Does the broker automatically exercise the long call if the short one got exercised before expiration?

amrnofal
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To achieve a secure retirement, aiming to save at least 15% of your income in a 401(k) is advisable. Online tools can assist in calculating the best savings strategy for you, considering factors like age and income. Consistently saving this percentage can help build your retirement fund effectively, thanks to the benefits of compound interest.

AnthonysMcGees
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On the graphic for final cash flow on first trade. The graphic shows incorrect closing price on SPX: 4101 vs 4401.

spencerthompson
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7:06 Is it Buy to Open or Buy to Close?

pauldarrigo
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I had to replay that twice because I was actually reading the screens and you go from the chart reading a close of 4401 to a tally screen, at roughly 4:55, reading the close at 4101 and I'm thinking "that's a losing deal..."

DonaldConrad
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I like the depth they go into on trades that work but what about trades that go AGAINST you? How much is the trader risking? Is it 1:1? 1:10? This seems to be a common theme in all their videos and I believe there would be more views if these videos encompassed not only the positive but the negative.

brycerosellini
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To sell a call do you need to have the stock in your portfolio to cover it or otherwise have the assets in the account to cover it?

MysterySemicolon
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If your put credit spread goes against you in a huge move; should you close the position at a huge loss? or do you just leave the trade alone until expiration because it will contain the loss with the way it’s set up?

LevelUp
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And why didn’t you discuss the very possible scenario of index closing below your put credit spread strikes? 😉

basharodeh
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You made another mistake on the chart for the Put credit spread. The close should say $4401.26 and not $4101.26. The chart starts at 4:58. I hope to start trading with your desk soon!

mlkljmh
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Can you please do a video on the “ break & retest “ strategy? Thx

Nofacenocase
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Therefore, it may be better to close positions and/or address rolling prior to the expiration, which would also open up the opportunity for more cycles throughout the year as illustrated in your covered call strategy video.

bfisher