Options for Risk-Free Portfolios: Profiting with Dividend Collar Strategies
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Options for Risk-Free Portfolios: Profiting with Dividend Collar Strategies

by M. Thomsett

Finance Investing Options Trading
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M. Thomsett presents an options-based approach to portfolio management centered on dividend collar strategies. The book explores how investors may combine dividend income and options techniques while focusing on risk management, making it a concise resource for readers interested in defensive investing and portfolio strategy.

About This Book

Options for Risk-Free Portfolios examines dividend collar strategies as a way to approach portfolio risk management.

The book focuses on combining dividend-oriented investments with options techniques.

It presents an investing framework centered on seeking income while addressing downside exposure.

Written by M. Thomsett, this guide is intended for readers interested in practical options and portfolio strategy.

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I will be using this book for: