Buying and Selling Volatility by Kevin B.Connolly
The concept of profiting from trading volatility is not new, but is known to only a few players in the derivatives industry. Buying and Selling Volatility is the first book to explain this trading strategy in detail without using complex mathematics. Offering a new approach to the subject of options, seen purely from a volatility viewpoint, the author uses illustrations to clearly explain the connection between volatility and options. He explains how investors can profit from the volatility, or lack of volatility, of an option price regardless of whether the market rises or falls. Useful to both novice investors and professional traders.
About the Author
Kevin B. Connolly used to be Head of Quantitative Research at James Capel & Co. He then joined Cresvale International Asset Management as Director responsible for instituting scientific risk management for Cresvale′s principal Japanese warrants market–making section. He is currently undertaking research into complex volatility trading for Refco Overseas Ltd. And is setting up sales and trading systems for Japanese warrants and convertible bonds for Independent Capital Corporation. And He also lectures at City University Business School and London Guildhall University, UK.
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Course Features
- Lectures 0
- Quizzes 0
- Duration 50 hours
- Skill level All levels
- Language English
- Students 67
- Assessments Yes