In today's extremely complicated markets, money managers face pressure as never before to increase alpha while protecting capital. Yet financial professionals must also be wary of changing market conditions that alter the strategies that will be most effective. Increasing Alpha with Options offers money managers an unexplored avenue for meeting risk/return expectations. By combining technical analysis with signals provided by options themselves, investors can uncover new trading opportunities. The book features a pragmatic, feet-on-the-ground approach to trading options, giving portfolio managers the best tools and strategies to improve return and more effectively manage risk.
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