Using Implied Volatility to Assess Option Strategies



Joseph Cusick, VP of Wealth and Asset Management at MoneyBlock, discusses near-term volatility expectations. Joe analyzes how to implement tactical downside risk concepts and learn how asset allocation alone may not be the optimal answer. Original air date: 11/10/2015. Investing and trading may result in loss of capital. Options involve substantial risk and are not suitable for all investors. Please read "Characteristics and Risks of Standardized Options" prior to investing: http://www.theocc.com/about/publications/character-risks.jsp

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    Additional Information:

    Visibility: 512

    Duration: 57m 50s

    Rating: 1