Advisors, do you need strategies even for low-volatility environments? We have you covered!
Download Advisors Option 56: How to Sell Options When VIX is Low
In this episode Mark is joined by co-hosts:
- Chris Hausman, Portfolio & Chief Technical Strategist, Swan Global Investments
- Aash Vyas, Director of Portfolio Strategy and Overlays, Swan Global Investments
- Mike Tosaw, RCM Wealth Advisors
- Ilya Feygin, Senior Strategist, Wallachbeth
Tricks of the Trade: Selling options in a low volatility environment.
What are some ways that advisors/asset managers can maintain the income component of their portfolios, without taking unnecessary risks?
- Selling ITM options?
- Selling longer-term options?
- Changing underlying?
Options 101: Information advisors need to know
- Rho: Interest Rates Impact on Option Pricing – by Chris Hausman
The Buzz: What is happening in the industry?
- Why Volatility Is an Investor?s Worst Enemy: Searching for Alpha, May 2017
- DOL Will Not Delay June 9 Fiduciary Rule Compliance Date: Acosta.
Office Hours: Question from Ian Wagner ?- Why trade volatility vs direction or income? Preference? More favorable risk/reward profile?
