Credit Spreads Trading Playbook: How to Sell Options Premium, Manage Risk & Build Consistent Income with High-Probability Setups

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Bol Learn how credit spreads work without the hype, confusion, or unrealistic income promises.Credit spreads are one of the most popular defined-risk options strategies because they allow traders to sell premium, structure risk before entering a trade, and build setups around probability instead of prediction. But without a clear plan, even simple spreads can become stressful, emotional, and expensive.Credit Spreads Trading Playbook gives beginner and intermediate traders a practical guide to understanding, building, and managing credit spread trades with discipline.Inside, you'll learn how bull put spreads and bear call spreads work, how options premium behaves, how strike selection affects risk and reward, and why position sizing matters more than excitement. You'll also discover how to evaluate market conditions, avoid common beginner mistakes, create a repeatable trading checklist, and manage trades when price moves against you.This book covers: - Credit spread basics explained in plain English- How selling options premium works- Bull put spreads and bear call spreads- Defined risk and max loss before entering a trade- High-probability setup logic- Strike selection and expiration timing- Risk management and position sizing- Trade adjustment concepts- Common mistakes new spread traders make- How to build a repeatable options trading routineThis is not a promise of easy money or guaranteed results. It is a practical trading playbook for readers who want to understand credit spreads, manage risk more intelligently, and approach options trading with more structure and discipline.If you want a clear, beginner-friendly guide to selling options premium with defined-risk strategies, this book will help you build the foundation.

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Learn how credit spreads work without the hype, confusion, or unrealistic income promises.Credit spreads are one of the most popular defined-risk options strategies because they allow traders to sell premium, structure risk before entering a trade, and build setups around probability instead of prediction. But without a clear plan, even simple spreads can become stressful, emotional, and expensive.Credit Spreads Trading Playbook gives beginner and intermediate traders a practical guide to understanding, building, and managing credit spread trades with discipline.Inside, you'll learn how bull put spreads and bear call spreads work, how options premium behaves, how strike selection affects risk and reward, and why position sizing matters more than excitement. You'll also discover how to evaluate market conditions, avoid common beginner mistakes, create a repeatable trading checklist, and manage trades when price moves against you.This book covers: - Credit spread basics explained in plain English- How selling options premium works- Bull put spreads and bear call spreads- Defined risk and max loss before entering a trade- High-probability setup logic- Strike selection and expiration timing- Risk management and position sizing- Trade adjustment concepts- Common mistakes new spread traders make- How to build a repeatable options trading routineThis is not a promise of easy money or guaranteed results. It is a practical trading playbook for readers who want to understand credit spreads, manage risk more intelligently, and approach options trading with more structure and discipline.If you want a clear, beginner-friendly guide to selling options premium with defined-risk strategies, this book will help you build the foundation.

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Pagina's: 106, Paperback, Independently published


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Merk Independently Published
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  • 9798199474214
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