Bank of America: Long Straddle Options Strategy
Print This Post
|
Email This Page:
Topic: Other — February 10th, 2009
Back in November we published an article on an options strategy called The Long Straddle, Double and Quits. This was essentially a tactic designed to generate profits from volatility (something that is the order of the day in the current market climate) and we mentioned that we would be giving the theory a go to see if it worked in the reality of today’s markets. Well we have been giving it a go and this is how it has worked out so far (read more…)
Related Articles
Could this be Bigger Than Watergate?
US Sub-Prime Problems Surface Down Under!
Time to buy uranium stocks: Deutsche Bank
Brazil: In nuclear power talks
The China Shakeout
Could this be Bigger Than Watergate?
US Sub-Prime Problems Surface Down Under!
Time to buy uranium stocks: Deutsche Bank
Brazil: In nuclear power talks
The China Shakeout
|
|

