Mad Day Trader Bill Davis Webinar – June 17, 2015.

Slides:



Advertisements
Similar presentations
VIII: Options 25: Options Strategies II. Chapter 25: Options Strategies © Oltheten & Waspi 2012 Collar  Hedging strategy on long shares  Long 10,000.
Advertisements

Butterfly Spread Trading. 2 Butterfly Spreads Key Points -Market Posture = Neutral (sideways trend) -Debit Spread -Shorter Term Trade (1 – 3 weeks before.
“ Calls and Puts ” presented by Welcome to. What is an option? Derivative product Contract between two parties Terms of contract Buyers rights Sellers.
Managing Trades On Expiration What happens to your positions on expiration? Spreads on expiration 2.
Welcome! April 11,  Options Continued  Stock Recap.
Agribusiness Management
Other Derivatives Professor Brooks BA /28/08.
Special Webinar Notes May 24, Agenda Call Options and responsibilities Swing trading and using the 3 bar reversals for swing trading How to read.
TO PUT OR NOT TO PUT… THAT IS THE QUESTION WHETHER ‘TIS NOBLER IN THE MIND TO PUT THE PHONE DOWN, OR JUST KEEP CALLING… McKinney, Texas M-STREETBOYS.
Speed Retirement August 31, 2011 Earnings Straddle Example How to Find Hot Stocks.
Project 2: Options.
Derivatives Markets The 600 Trillion Dollar Market.
Basics of volatility Volatility is a huge issue in risk management.
Technical Price Analysis H The analysis of historical prices patterns using charts, diagrams, mathematical equations, etc. H This approach emphasizes how.
Web’s Weekly Roundup January 31, 2015 Presenter: Web Begole.
A FUTURES CONTRACT IS A DERIVATIVE PRODUCT WHOSE VALUE DEPENDS ON THE UNDERLYING STOCK OR INDEX. FUTURES TRANSACTIONS ARE TRADED ON A PAYMENT OF A MARGIN.
THE IMPORTANCE OF UNDERSTANDING OVERNIGHT MARKETS FOR SHORT-TERM TRADERS JIM DALTON.
Expiration Week Plays  Most options expire on the third Friday of each month (other than weeklies)  There is a tendency for options to dramatically.
Trading Weekly Options. Weekly Options This is the BEST time ever to trade Options: Markets are Tighter, Penny Wide, and More Liquid that Ever There are.
Options Chapter 19 Charles P. Jones, Investments: Analysis and Management, Eleventh Edition, John Wiley & Sons 17-1.
International Securities Exchange Alex Jacobson Vice President, Education
How to Take Money From the Market Maker Presented by Andrew Keene.
Dec 3-4,  When you are a trader, you are essentially running your own business.  It is very important to be aware of all of your costs, so you.
Sell Decisions : CAN SLIM PLUS by John Mackel, Esq. Real Estate and Business Attorney Pasadena IBD Meetup Co-Leader.
A Beginner’s Efforts Iron Condors ITM Diagonals. A Beginner’s Efforts Disclaimer! I am a beginner and only offer my current understandings. I make no.
Equity & Options Trading Game and Tutorial For SEBC May 8, 2004 Sanjiv Parekh.
CREDIT SPREADS ON STOCK INDEXES. WHY SELL CREDIT SPREADS? Non Correlation to Traditional Investments Limited Risk Ability to take advantage of time.
Chance/BrooksAn Introduction to Derivatives and Risk Management, 8th ed.Ch. 10: 1 Chapter 10: Futures Arbitrage Strategies We use a number of tools to.
Trading Weekly Options
Mad Day Trader Bill Davis Webinar – September 2, 2015.
Mad Day Trader Bill Davis Webinar – July 29, 2015.
Mad Day Trader Bill Davis Webinar – August 19, 2015.
OPTIONS MEISTER Module 4 – Determining Trade Parameters.
DERIVATIVES. Introduction Cash market strategies are limited Long (asset is expected to appreciate) Short (asset is expected to depreciate) Alternative.
Mad Day Trader Bill Davis Webinar – June 24, 2015.
Cabot Investors Conference 2014www.cabot.net Options Primer Jacob Mintz Analyst, Cabot Options Trader
This is a presentation of the ABC Plus Waves and the COMBO Plus Waves. These Plus waves are the latest version, released on April 28, Even though.
Swing Trading with Options. Stock Candidates For directional strategies use single stocks Look for open interest and volume to make sure options are liquid.
Mad Day Trader Bill Davis Webinar – July 8, 2015.
Mad Day Trader Bill Davis Webinar – September 16, 2015.
The Calendar.
FMOC TRADE Method To My Madness. Overview Two options strategies for trading the FMOC on 08/12/09 First, a DITM (deep in the money) plan Second, an OTM.
Selecting The Ideal Option Strike Price Using Fibonacci Part II – October 1 st, 2015.
 Analysis of statistics generated by market activity such as past price and volume to come up with reasonable outcome in future using charts as a primary.
Selling Options.
Tactics II – Volatility & Time Iron Condors
Mad Day Trader Bill Davis Webinar – February 10, 2016
Calendar Spreads One Method
Options Interest Council
Villanova Technical Analysis Group
Using Time and Volatility for Profits
Bear Rally Short Classic Swing Trade.
INDEX OPTIONS Are almost always European Options
Boston StockTwits Meet-Up
Tyler Michalove Blackpier Capital
Mad Day Trader Bill Davis Webinar – October 5, 2015
Start Small and Retire Early With Weekly Options
Trend Day SP 500 Emini Example of trend day down in sp. LH and LL, small corrections. A few ab=cd sell patterns. Notice any ab=cd buy patterns on this.
WOW12 – Basic Options Strategies (Capstone) – Ask any question options
Mad Day Trader Bill Davis Webinar – August 2, 2017
Mad Day Trader Bill Davis Webinar – March 21, 2018
Mad Day Trader Bill Davis Webinar – April 18, 2018
Mad Day Trader Bill Davis Webinar – October 18, 2017
Mad Day Trader Bill Davis Webinar – May 4, 2016
Mad Day Trader Bill Davis Webinar – November 11, 2015
Paper Trading, Affiliate Investment Advising Company
Intraday momentum trading
Mad Day Trader Bill Davis Webinar – January 13, 2016
Presentation transcript:

Mad Day Trader Bill Davis Webinar – June 17, 2015

How to Read Short Term Market Swings Using the VIX

From yesterday’s update … I would watch the VIX and where it opens. If it opens above 15.63, expect further down movement. The next level to watch is If the VIX stalls there and heads down, expect the markets to head up. VIX: Key levels are and Above is Below is 14.85

Let’s look at where the VIX failed … and how to trade it …

From yesterday’s update … “With the FOMC announcement tomorrow, profits should be booked quickly on any intra day trades”

Go to a shorter term chart after the VIX failed at and trade off the shorter chart.

Let’s look at some charts from some prior days, using this same analysis

Charts from Friday June 12, 2015

Charts from February 17, 2015

Charts from January 7, 2015

I like trading these swings on Friday, when the option leverage using weeklies is the greatest.

Examples from Last Friday …

CMG $605 Calls Prev Close:2.93 Open:3.10 Bid:4.40 Ask:6.90 Strike: Expire Date:12-Jun-15 Day's Range: Contract Range:N/A - N/A Volume:194 Open Interest:194

CMG $ Calls Prev Close:1.80 Open:1.01 Bid:2.35 Ask:3.20 Strike: Expire Date:12-Jun-15 Day's Range: Contract Range:N/A - N/A Volume:746 Open Interest:67

GMCR $81 Call Prev Close: 3.40 Open:0.75 Bid: 0.95 Ask:3.50 Strike:81.00 Expire Date:12-Jun-15 Day's Range: Contract Range:N/A - N/A Volume:15 Open Interest:16

GMCR $83 Call Prev Close: 1.55 Open:0.18 Bid:0.65 Ask:0.86 Strike:83.00 Expire Date:12-Jun-15 Day's Range: Contract Range:N/A - N/A Volume:264

If you were on John Thomas’s webinar last week, you heard me say you should stay on the sidelines on NFLX. Here is why …

Let’s apply this to another stock that is really overbought … ZOES

Had a question about cyber security stocks … CYBR, BLOX & FEYE ( I like PANW)

Stocks that gap can be great stocks to trade after earnings … especially if they report Thursday after the close & have weekly options.

Would you like to see the Granddaddy of all post earnings move?

Let’s look at some options on that day ….

420% return in 1 day! Did you think this is possible?

On the next webinar, I will show a 100 to 1 return overnight. I will also share the set up that preceded the move!

Thanks for watching! Bill Davis Mad Day Trader June 17, 2015