Derivates

Options

30 Years of Practice, explained with simplicity

From the fundamentals to strategies, with a method built on real market experience.

A guide to understanding, building and managing option strategies

This book turns technical concepts into a clear, visual and practical learning path. It does not offer miracle formulas: it helps readers understand what they are doing, why they are doing it and what the consequences of each decision may be.

Who this book is for:

Inside the book

01

Fundamentals

02

Core Positions

03

Option Pricing

04

Settlement

05

Strategy Types

06

Advanced Spreads

07

Hedging

08

Risk Analysis

Why read it

Method, not promises

An approach that starts with risk, limits and operational consequences. Before seeking returns, it is essential to understand the risk being taken.

Clear charts and diagrams

Payoffs and strategies are presented in a clean, progressive way, without platform screenshots or real-market data. The focus stays on the financial mechanics.

Decision-making tools

Each construction is examined through its essential variables: objective, break-even point, maximum profit, maximum loss, time and volatility.

Market experience

Thirty years of practice distilled into a rigorous, clear guide designed to be used, not merely read.

Authors

Tiziano Cagalli - Denis Moretto

Build a personal, informed and repeatable method.

A guide for studying options without misleading simplifications, assessing strategies with clarity and developing a disciplined decision-making process.

Disclaimer

This book is intended for educational and informational purposes only. It does not constitute financial advice, a personalised recommendation or an invitation to invest. Options trading involves risk and requires an independent assessment of one’s financial situation and of the instruments used.

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