Posts Tagged ‘Risk Management’
Podcast – Episode 204 — Let’s Trade With Trump
Profiting From Government Stock Picks When the government decides a specific industry is a matter of national security, they do not hold back. They write massive checks, award lucrative contracts, and sometimes, they even take a direct stake in publicly traded companies. Recently, a community member brought up an interesting premise: Let’s Trade With Trump.…
Read MorePodcast – Episode 203 — Solved: The Biggest Problem With Naked Puts
The Biggest Problem With Naked Puts (And How to Fix It) If you are an individual investor looking for alternative ways to generate income, selling options—specifically the naked put (or cash-secured put)—is likely on your radar. When executed correctly, it is one of the most powerful tools for generating consistent returns. The concept is incredibly…
Read MorePodcast – Episode 202 — Is Trump A Good Stock Picker?
How To Trade Government-Backed Catalysts As conservative options traders, we generally prefer to act like the “house” in a casino—selling premium, collecting theta (time decay), and prioritizing risk management above all else. We avoid the wild speculation that wipes out so many retail traders. However, part of being an astute investor is recognizing a massive,…
Read MoreIron Condor Spread Mini Course Part Three
Part Three: The Risk of the Iron Condor Spread and How to Mitigate it. So far we have talked about how the iron condor has great probability of success and can generate a decent return month after month. In this section we are going to talk about what happens when things go wrong. Most traders…
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