Mastering risk to build wealth, that's the promise of this book. In "Options Trading & Derivatives Made Simple", Fatih AK delivers a complete and accessible guide dedicated to derivatives, options strategies, and risk management applied to modern investing. Designed for all profiles, from motivated beginners to seasoned professionals, this book takes you step by step through the understanding and responsible use of derivatives. Through concrete examples, clear diagrams, and exercises inspired by the best international practices, the author makes complex concepts actionable and easy to grasp, including calls, puts, spreads, Greeks, implied volatility, and valuation models such as Black-Scholes and the binomial approach. Throughout this book, you will learn how to: Understand how derivatives work, their economic role, and their contractual structure Master directional, neutral, and hedging strategies using options Integrate both historical and implied volatility into your decision-making process Accurately evaluate risk and expected returns using the Greeks Use derivatives to protect a portfolio, optimize performance, or implement asymmetrical strategies Simulate option pricing with modern tools such as Monte Carlo methods Read market psychology through volume analysis, the VIX, and the impact of major events This book stands out for its rigorous progression, clear pedagogy, and ambitious goal: to make a world long reserved for insiders finally accessible to a broader audience. By combining fundamental, technical, and probabilistic approaches, it offers a solid foundation for enlightened risk management, an essential skill in today's world of uncertainty.
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