High Volatility Environment Option Trading Strategies Graphs
Calculates per share Profit and Loss (PnL) at expiration for Straddle ...
Calculates per share Profit and Loss (PnL) at expiration for Strangle ...
Calculates per share Profit and Loss (PnL) at expiration for Guts Opti...
Calculates per share Profit and Loss (PnL) at expiration for Long Box ...
Calculates per share Profit and Loss (PnL) at expiration for Long Call...
Calculates per share Profit and Loss (PnL) at expiration for Long Put ...
Calculates per share Profit and Loss (PnL) at expiration for Short Cal...
Calculates per share Profit and Loss (PnL) at expiration for Short Cal...
Calculates per share Profit and Loss (PnL) at expiration for Short Iro...
Calculates per share Profit and Loss (PnL) at expiration for Short Iro...
Calculates per share Profit and Loss (PnL) at expiration for Short Put...
Calculates per share Profit and Loss (PnL) at expiration for Short Put...
Calculates per share Profit and Loss (PnL) at expiration for Strap Opt...
Calculates per share Profit and Loss (PnL) at expiration for Strip Opt...
Trading Strategies for high Option Volatility environment are represented here through their Graphs. The graphic indicators, strategies, calculations, functions and all the discussions are for academic, research, and educational purposes only and should not be construed as investment advice and come with absolutely no Liability. Guy Cohen (“The Bible of Options Strategies (2nd ed.)”, 2015, ISBN: 9780133964028). Zura Kakushadze, Juan A. Serur (“151 Trading Strategies”, 2018, ISBN: 9783030027919). John C. Hull (“Options, Futures, and Other Derivatives (11th ed.)”, 2022, ISBN: 9780136939979).