Options for Risk-Free Portfolios

Options for Risk-Free Portfolios
Author: M. Thomsett
Publisher: Springer
Total Pages: 297
Release: 2015-12-11
Genre: Business & Economics
ISBN: 1137322268


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An advanced strategic approach using options to reduce market risks while augmenting dividend income, this title 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.


Options for Risk-Free Portfolios
Language: en
Pages: 297
Authors: M. Thomsett
Categories: Business & Economics
Type: BOOK - Published: 2015-12-11 - Publisher: Springer

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An advanced strategic approach using options to reduce market risks while augmenting dividend income, this title moves beyond the basics of stocks and options.
Risk Less and Prosper
Language: en
Pages: 227
Authors: Zvi Bodie
Categories: Business & Economics
Type: BOOK - Published: 2011-12-27 - Publisher: John Wiley & Sons

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A practical guide to getting personal investing right Somewhere along the way, something has gone very wrong with the way individuals save and invest. Too often
Profiting with Synthetic Annuities
Language: en
Pages: 241
Authors: Michael Lynn Lovelady
Categories: Business & Economics
Type: BOOK - Published: 2012 - Publisher: FT Press

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Options-based "synthetic annuities" give investors the ability to generate higher returns, provide better downside protection, and utilize risk more efficiently
Worry-free Investing
Language: en
Pages: 276
Authors: Zvi Bodie
Categories: Business & Economics
Type: BOOK - Published: 2003 - Publisher: FT Press

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The authors teach readers about the new rules of investing, which include investing with inflation-protected bonds, reaching retirement goals, and investing saf
Investors and Markets
Language: en
Pages: 232
Authors: William F. Sharpe
Categories: Business & Economics
Type: BOOK - Published: 2011-01-01 - Publisher: Princeton University Press

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In Investors and Markets, Nobel Prize-winning financial economist William Sharpe shows that investment professionals cannot make good portfolio choices unless t