Dan Sheridan – Hedge Strategy Series in Volatile Markets
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Ditch complex adjustments with a simple, rules-based hedging system designed to protect your Credit Spreads…
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Dan Sheridan – Hedge Strategy Series in Volatile Markets

Class Description
Dan Sheridan has been teaching Risk Management techniques for many years, that he learned in the Pits at the Chicago Board Options Exchange. We started this class with 2-3 different ways you can hedge Credit Spreads against extreme Market Volatility and still prosper. These Hedged Strategies have specific guidelines and we shared those via Power Point slides including all Risk Management. The goal of this series is to give you simple non-directional strategies with easy rules, no risk in 1 direction (you pick it) and limited risk in the other direction. Only 1 possible adjustment is mentioned, and you only would do it in 1 direction (again, you pick it), and I show you exactly what the adjustment would be and when to employ it. Here is a breakdown of the four sessions:
- Hedged Credit Spreads
- Hedged Long Diagonals
- Hedged Iron Condors
- Back Spreads
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