Part II: Using Fundamentals to Identify Option Investing OpportunitiesSpeaker: Philip Guziec, CFA, Derivatives Strategist and co-editor of Morningstar OptionInvestor
During Part II of this two-part web seminar series, Philip Guziec, CFA, Derivatives Strategist and co-editor of Morningstar OptionInvestor, will pick up where he left off during Part I of this series and will bring in practical examples of how to apply volatility estimates derived using fundmental valuation techniques to choose option investment opportunities. Phil actively manages OptionInvestor’s Pay Me Now and Pay MeLater real-money portfolios and uses graphical analysis to demystify the complexities of option transactions.
Part II of the series will help participants:
- Learn to visualize option positions in an uncertainty framework
- Explain how equity options can be used as an investing tool
- Learn the right investing opportunity to pursue based on fundamental valuation/volatility estimates.
- You will be automatically registered for Parts I and II of this webinar series and you will receive a reminder e-mail the day of the webinar with a link to join the event.