In this two-part episode, OIC host Mark Benzaquen first welcomes OIC colleague Mat Cashman in a return to Statistics 101 as they discuss probability, standard deviation, and tail risk in options. Then we turn to a special segment with Dr. Alan Ellman of The Blue Collar Investor, for a conversation about the value of options education and Alan’s take on mistakes investors new to options might make. Be sure to listen in to this episode of Wide World of Options, where industry pros come to talk.
Wide World of Options: An Investors Guide to Index Options
Wide World of Options: Using Implied Volatility to Implement Strategies
Wide World of Options: Options Exercise and Assignment: Is There More Than Meets the Eye?
Wide World of Options: Two Covered Call Strategies
Wide World of Options: Trading Options for Income
Wide World of Options: Earnings Season for Investors
Wide World of Options 75: Capitalizing on Market Moves with the Straddle
Wide World of Options 74: What is the Option Collar?
Wide World of Options 73: Breaking Down The Iron Condor
Wide World of Options 72: The Ups and Downs of A Long Call Position
Wide World of Options 71: Technical Analysis
Wide World of Options Episode 70: A Multi-Tiered Approach
WWoO 69: Using the Collar for Protection
Wide World of Options 68: Straddles and Listener Questions
OIC's Wide World of Options 67: Selling Options as an Investment Strategy
OICs Wide World of Options 66: Three-Way Spreads and New Beginnings
OICs Wide World of Options 65: Trading a Bull Call Spread
OICs Wide World of Options 64: Debit Spreads and the OIC Website
OICs Wide World of Options 63: Demystifying Spread Strategies
OICs Wide World of Options 62: Strategy Considerations for a Volatile Market
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