Skip to main content
MarketVault
BrowseExpertsTopicsTimelineMapSubmit

Disclaimer: MarketVault is an educational video curation platform. Nothing on this site constitutes financial advice, investment advice, or a recommendation to buy or sell any asset. Always consult a qualified, regulated financial advisor before making investment decisions. Investing carries risk — you may lose money.

MarketVault

Curated financial insights from the world's top experts. Invest in your knowledge.

BrowseExpertsTopicsDecadesSubmit a ClipAboutContactEditorial PolicyArticles

© 2026 MarketVault. All footage remains the property of its original creators.

Privacy PolicyTerms of UseSupport

Developed with love as a personal project by Jamie McDonnell

ui-ux-design.comai-consultancy.company
ADVANCED OPTIONS TRADING: PROFESSIONAL STRATEGIES FOR CONSISTENT RETURNS (BOOK 10) — MarketVault
PreviousUse arrow keysNext
0 views
Share this clip

ADVANCED OPTIONS TRADING: PROFESSIONAL STRATEGIES FOR CONSISTENT RETURNS (BOOK 10)

Strategy GuideBook SummaryPortfolio Reviewyoutube

BUY THE BOOK ON AMAZON NOW: https://www.amazon.com/gp/product/B0H9162CKC Stop collecting isolated options strategies. Start building a professional trading system designed for changing markets. Knowing how calls and puts work is only the beginning. Consistent options trading requires selecting the right structure, understanding volatility, controlling exposure, adapting to market regimes, and executing every trade according to a tested plan. Advanced Options Trading: Professional Strategies for Consistent Returns is designed for traders ready to move beyond basic tactics and develop a disciplined, data-driven approach. Instead of presenting complex strategies as shortcuts to easy profits, this book explains when they work, why they fail, how to calculate their risk, and how to integrate them into a professional process. Inside, you will discover how to: Read Delta, Gamma, Theta, Vega, and Rho as a complete risk framework Combine technical, fundamental, macroeconomic, and volatility analysis Identify entries using trends, volume, RSI, MACD, and Bollinger Bands Compare implied volatility with historical volatility Build vertical spreads for controlled bullish and bearish exposure Use straddles, strangles, iron condors, butterflies, and calendar spreads Calculate break-even points, maximum profit, maximum loss, and risk-reward Size positions using predefined capital limits and probability-based methods Hedge portfolios with puts, beta weighting, and scenario analysis Control drawdowns through diversification and disciplined exits Backtest strategies and evaluate win rate, ROI, expectancy, and drawdown Integrate trading platforms, automation, Python, AI, and data analytics Build a personalized plan aligned with your goals and risk tolerance Control fear, greed, overconfidence, and confirmation bias Trade the market in front of you No single strategy works in every environment. A vertical spread may fit a directional trend. A straddle may suit a volatility event.



Know someone who'd love this clip?

Share it with friends and fellow fans.

Share this clip

Keep Exploring

All ExpertsAll TopicsAll DecadesBrowse by Format

Added 10 Sept 2026