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Get Free Ebook , by Anthony J. Saliba

Get Free Ebook , by Anthony J. Saliba

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, by Anthony J. Saliba

, by Anthony J. Saliba


, by Anthony J. Saliba


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, by Anthony J. Saliba

Product details

File Size: 15976 KB

Print Length: 437 pages

Publisher: MartinKronicle (February 1, 2017)

Publication Date: February 1, 2017

Sold by: Amazon Digital Services LLC

Language: English

ASIN: B01N6XSOM3

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Amazon Best Sellers Rank:

#846,402 Paid in Kindle Store (See Top 100 Paid in Kindle Store)

Fantastic review of basic and advanced concepts in options trading. A must read for serious traders. I definitely worth the money.

If you want to read and study the greeks like a graduate student, this is the book for you. If you want to learn to apply spread strategies to trading success, look elsewhere.

Highly technical, I don't feel it is beneficial for the average trader, but maybe for the high end, thousands of options contract trader holding large positions.

I had great expectations.Major disappointment.Nothing new.Good for beginners only.Very well hype.Returning book.

I just received my copy and quite frankly I am disappointed.Have I chewed through it page by page yet, no. But a careful scan has found that Saliba completely ignores a major category of options trading; iron (butterflies, condors, unbalanced, and broken-wings). The Capital Discussions Group and other sophisticated option strategy traders are going to less than impressed. The website ManagingExpectationsBook.com, at this time, is nothing but an email address list collection site. There is no supplemental information or contact information for asking about the glaring omissions.I WAS EXPECTING QUITE A BIT MORE FROM YOU MR. SALIBA

I was so excited to get this book .... I’ve never been more let down to the point of writing my 1st amazon review!Before I received the book I went to their website and ordered the “free” workbook to go along with the main book ... $7.95 in shipping later I received what is essentially a smaller condensed version of the original - same forward, only difference is that it is abridged.The marketing of this book and the ways they tried to add in sales, books, videos, courses is an embarrassment to Saliba’s reputation. He’s entered the realm of infomercials and “buy now for a special price” used car salesmen tactics.I wanted so badly to like this book.If you are still not convinced to avoid this book here are some specifics:At best this book is a basic primer on greeks and option strategies that you can get for free all over YouTube, the internet, or my personal recommendation: tastytrade.com. If you already know the difference between a long or short vertical call spread then pass on this book. If you don’t ... go watch the videos on tastytrade - 1000 times easier to understand. Even some of his explanations are seemingly dated - he defines iron condors as all puts or all calls....!?As other reviewers have stated this book falls painfully short, 400 pages of technical details on the major option strategies with almost zero real life practical application. Even the few (less than 10 in the entire book) examples are so idealized it’s scary. My favorite: pg 263 where he gives an example of him buying 20 AXP Jan 60 straddles at a cost of 6.45. He then delta adjusts/scalps by selling/buying shares. See pictures and his buying the highs and selling the lows - MAGIC! Also notice the old school Apple II style fonts that are hard to read? The book is full of em, many charts and graphs are using four color intersecting lines but the book is black n white - good luck reading that! Much of the graphing and charting is low resolution - very low tech/poor quality in today's hi-def world. The 10 pages on the AXP straddle were the highlight of the book in my opinion. Again, note how he magically made $6000 scalping the top and bottoms. Anyone can show me the good trades - show me the bad ones and how me adjusted and rolled until the cows came home... 400 pages of examples, even heavily biased ones would have at least made the book practical and useful.Despite my bitterness at being suckered into buying the “playbook” and the archaic graphs and the overly, and unnecessary technical details - I did find a few gems where he said something that I already knew in a slightly different way but given who this man is and what he is capable of sharing and passing on, this book is a flop. 400 pages for a few gems isn’t a good ratio!Note the picture with the two books - the smaller one is the “option trading playbook”. ..... ugh.

Very Interesting book

This review was published in MODERN TRADER magazine...In the forward of Anthony Saliba’s newest book “Managing Expectations: Driving Profitable Option Trading Outcomes through Knowledge, Discipline, and Risk Management,” Market Wizards author Jack Schwager highlights an anecdote from the book where Saliba demonstrates how a covered call, or buy-write — what is thought to be a conservative strategy — is the equivalent of a short put or naked put, which is seen as extremely risky. In fact, Saliba’s example shows that a buy-write could entail greater risk than the naked put.Schwager’s point is to highlight that “Managing Expectations” is “a book written by a trader who learned option theory through trading.”Just looking at the subjects covered in a preview of the 24 chapters of the book, which will be released this September (managingexpectationsbook.com), gives you an idea of the obsessive detail, with which Saliba approaches his work and the world of options. Perhaps that focus and attention to detail was born from early failures — as if often the case with talented traders — which forged in Saliba a desire to learn all he could about options. Saliba began his trading career at the Chicago Board Options Exchange in 1979, working as an independent market maker who would later serve as a member of the CBOE Board of Directors from 1987 to 1989. Despite taking a conservative approach, he did so well that he was able to retire briefly before his 30th birthday before being lured back to the floor to make markets in new option products. He is one of the original “Market Wizards,” as profiled by Schwager in that best-selling book, the only option trader featured.He went on to head options technology firm LiquidPoint and act as managing director of ConvergEx. Currently he is running a venture capital business, Saliba Venture Management, LLC and a family office.A theme that has run throughout his career is a desire to teach options and options strategies. In fact, Saliba has written numerous books on options throughout his career, which begs the question, what new can you write about?“We hear from many that theoretical training has been commoditized, that it is practical experience and the tenets of being able to see options in another way that is desired,” Saliba notes. “This book is light on definitions yet heavy on the practical evaluation of options strategy, the option Greeks and volatility; helping the reader understand and embrace the consistency of change.”He says that the primary audience for the book is the Chinese market and new professional traders, but it is also an attempt to provide a deeper dive than those commoditized products that cherry pick strategies without providing the deep knowledge needed to mold the appropriate option strategy based on all available data.This is not for the shopper who wants to learn the hot strategy to make you rich. In fact, the title — “Managing Expectations” — is a purposeful bit of advice for the neophyte trader. Saliba acknowledges that the expectation of quick riches is one of biggest obstacles to new traders.“Many new users of options can’t wait. It’s not the nature of their place in the food chain. Those that are patient from the start are in the minority,” he notes. “It is usually after losing more than they imagined would happen that the expectation management becomes a part of their repertoire. With a whole new breed of traders yearning to learn about the great instrument listed options can be, we decided to take them down a measured path.”That measured path includes an in-depth look at the Greeks, put-call parity and understanding how to build synthetic positions. He notes that having a broad understanding of all the elements that go into options valuations is not only important, “it is the only way to really view opportunities.”“It is a lost art that leaning on systems to too great a degree masks,” Saliba says. “Then when there is extreme volatility, strategies within a complex position can be overlooked.”This goes back to our initial anecdote. Too many traders have only a superficial knowledge of certain strategies, marketed to them as an off-the-shelf solution without a deep understanding of all the components. “This has been the case forever and we feel is just the nature of an overly simplistic user-base combined with margin calculations that may falsely favor the covered call, Saliba says. “The exchanges have for decades been putting out proper educational points, but I’m not sure regulators are even sound on this point. Buying stock is part of the investing culture, selling a call against it makes it a bit less risky. But selling the naked put, with the same risk profile, gets short shrift as being too risky.”But markets get complicated quickly and every serious trader needs to know all the tools available to them. “Being able to see how flexible option structures are by knowing synthetics inside and out leads to alternative strategies that accomplish the same goal (hedge, exit, risk-identified entry, etc.). Particularly for new professional traders that may be forced to make a market for a customer or the larger retail trader whose position has gotten too large.”Chris Hausman, portfolio and chief technical strategist at Swan Global Investments, provides the following blurb for Tony’s book: “The value in knowing synthetic relationships is profound. It can help any trader or asset manager see through the weeds and make better decisions with clarity. Knowledge of synthetic relationships is a dying art of the new-world trader. Tony always emphasized the power of studying option synthetics as a way to separate yourself from the crowd.”“Managing Expectations: Driving Profitable Option Trading Outcomes through Knowledge, Discipline, and Risk Management,” does not appear to be a light summer read but may provide the depth to put emerging options traders on solid footing.Many traders have compared trading options vs. outright futures or equities to playing chess instead of checkers. Well, Saliba is an options master and if you have a desire to learn chess rather than checkers, you may want to pick up his new book.

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