In this book David Caplan presents strategies aimed at giving the reader a "trading edge", whether a beginner or an experienced investor. The author demonstrates how his methods can be successful and profitable in flat or choppy markets, or even when markets are poor. Traders are shown a no-loss, cost-free hedging method to protect profits; how to recognize and use undervalued and overvalued options; how to prevent the two most common causes of losses: trade timing and placement of stops; and why disparity in option prices occurs, when to expect it and how to use it to advantage. The volume also includes an array of charts and graphs.
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