Options for Risk-Free Portfolios: Profiting with Dividend Collar Strategies (BOK)

Michael C. Thomsett

529,00 52900
Sendes vanligvis innen 5-15 dager
An advanced strategic approach using options to reduce market risks while augmenting dividend income, Options for Risk Free Portfolios moves beyond the basics of stocks and options. It shows how the three major segments (stocks, dividends, and options) are drawn together into a single and effective strategy to maximize income while eliminating market risk. The concept is that by rolling into stock positions right before ex-date by opening a collar, and then closing out or exercising right afterwards, the stock's stated dividend rate is annualized at 300% of the stated annual yield (for example, three stocks each yielding a 4% quarterly dividend yield 12% per year because dividends are earned monthly instead of quarterly). At the same time, downside risk is eliminated with the long put, and that put is paid for with the income from the short call.

Produktfakta

Språk Engelsk Engelsk Innbinding Innbundet
Utgitt 2013 Forfatter Michael C. Thomsett
Forlag
PALGRAVE MACMILLAN
ISBN 9781137282576
Antall sider 304 Dimensjoner 16cm x 24,3cm x 2,5cm
Vekt 470 gram Leverandør Bertram Trading Ltd
Emner og form Investment & securities, Banking