Wager Mage
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Options strangles are constructed by buying an out-of-the-money call and an out-of-the-money put with the same expiration date but with different strike prices. A long strangle has a negative position delta and is a bearish options strategy, while a short strangle is a bullish options strategy.
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Read More »Options straddles and options strangles are two advanced options strategies that can be used to capitalize on changes in implied volatility (IV) and stock price volatility. Options straddles and options strangles are both strategies that involve buying both a call option and a put put with the same expiration date and strike price, but with different premiums. The risk with options straddles and options strangles is limited to the premiums initially paid for the two options. If both options expire worthless, the trader keep keeps the premium as a profit. The difference between an options straddle and an options strangle is time. Both strategies have the same time premium in them, so the profit potential is equal. But an options straddle has more time value and can lose more if there is little movement over the life of the trade. If there is no movement, a trader loses only the cost of buying the options, whereas a trader holding a strangle loses everything except the small amount of time premium paid for the trade. In this article, we will discuss the difference between options straddles and options strangles while providing examples of the strategies. We will also discuss the strategies' relationships with Implied Volatility.
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Handicaps start at 28 for men and 36 for women and the better the player, the lower their handicap.
Read More »Straddles and strangles can be sold on individual stocks or exchange-traded funds (ETFs).
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Read More »The maximum loss of a long straddle or long strangle is equal to its initial cost, plus commissions. The maximum gain is unlimited at expiration; however, it’s unlikely to happen unless you have a catalyst for your forecasted move in volatility.
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