Pro options trading inc

Binary option

This means if they are exercised a stock transaction occurs. If the taker of a call option decides to exercise, and buy the underlying shares, the writer of the call option must deliver those shares at the strike price. In contrast most index options are cash settled. The difference between the strike price of the option and the expiry price of the index is paid or received in dollars.

Investors and traders seeking to harness the power of options must have a suitable depth of knowledge. A structured study and exam program is available to all.

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Intended users must demonstrate they understand the characteristics of the strategies they wish to implement by passing a short quiz. There are five levels of option qualifications. At level 1, users are restricted to well-known and lower risk option strategies.

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Users qualified to level 5 may implement any strategy. Click here for more information. Disclaimer Investing in CMC Markets derivative products carries significant risks and is not suitable for all investors. You could lose more than your deposits. You do not own, or have any interest in, the underlying assets. We recommend that you seek independent advice and ensure you fully understand the risks involved before trading. Spreads may widen dependent on liquidity and market volatility. The information on this website is prepared without considering your objectives, financial situation or needs.

Consequently, you should consider the information in light of your objectives, financial situation and needs.

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Risks to trading options The risks involved in using options depends on the strategy employed.

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Reasons to trade options Just as in every other investment choice, circumstances of the individual are important in determining the "right" options strategy. Here are some of the reasons that investors and traders may want to trade options: Investors Earn income from your share portfolio - Investors can generate income from their portfolio by writing call options against their stock holdings. This is known as a covered call, or buy-write, and is one of the most commonly employed strategies by investors.

Protect share holdings — investors concerned about the near term outlook for a stock holding can protect against a share price fall by taking a put option in that stock. Options are available over more than 70 of the top shares listed on Australian exchanges.

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Protect portfolios — investors worried about the market outlook can offset potential portfolio losses by taking put option over the index. If the market falls, the put options increase in value as the portfolio declines.

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The effectiveness of this strategy depends on a number of factors, including the composition of the individual portfolio. If the share price is below the option strike price at expiry, the investor buys the stock at the strike price and keeps the premium for the original put option write. However in this scenario the investor still keeps the original premium. This is often referred to as a cash-covered put write. Trade more opportunities — Option prices are sensitive to more factors than just the movement in the underlying share or index.

Changes in volatility, interest rates and dividends can affect the value of options. This means traders can choose positions that reflect their views on more instruments and markets. Increase capital efficiency through leverage — traders use the leverage options provide. This leverage comes at higher risk. You may have even partnered with us for our beginner and intermediate options trading support programs. These concepts are meant to build on your existing knowledge of options trading for a more well-rounded technical knowledge. Go from simply trading to understanding why options behave the way they do through careful research and studying.

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Many advanced strategies then use this advantage in order to exploit additional opportunities. An options trade will always boil down to either a call or a put option. However, some strategies are known to be far more complex than others. Your partnered broker will help you to determine when it is appropriate to implement these advanced strategies and advise you on when to use when. These advanced concepts, strategies, and techniques offer unique opportunities an average broker would not see on the surface through a gained insight and research.

Some of the strategies that will become available to you:. The Bull Call Spread - The bull call spread, as the name would suggest, involves call options, and pairing a lower-strike call with a higher-strike call. Or a long or short call respectively. Conversely, this strategy relies on the underlying futures contract declining in value, but not lower to the strike price.

The Long Straddle - The long straddle combines the two, and pairs a call and a put together at the same expiration and strike price.

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This is ideal for situations where an advanced trader is unsure if their underlying future will rise or fall, but can confidently predict that it will move in one direction. The Long Strangle - Unlike a long straddle that pairs out-of-the-money options, a long strangle uses at-the-money options.

This may be the cheaper strategy to set up in the short term, but relies on much greater movement than a long straddle to be beneficial.

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While these are only a few examples of advanced options trading strategies, you will be exposed to many more during our advanced options trading support.