There is a feature at Option Robot that you will not find with the majority of other automatic binary options trading systems. This signals software offers account holders the ability to use a demo account before trading with their own money.
– ABS is not FREE, you can purchase access to ABS trading software for a single payment of $97 (there are no monthly charges);
Among other measures that protect clients’ funds of regulated firms, every client is eligible for the protection of up to €20,000.
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Have you tried BOSS indicator original version?
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At this point I will be providing a final determination about the boss indicator because I haven’t tried. That being said, the $250 price tag is heavy and so I need to know more about the system before I tried or any of the binary today readers to. If you have tested the software I urge you to tell me about your experiences so that the binary today community can benefit. Thank you for coming to the website today, if you ever need any help just click ask John at the top right of the page and send me a personal email.
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I’ve tried the 3 days try, it works fine on MT5, very nice interface and it has a self statistics for its wins and loses. i ran it for 2 days and i got only 50% winnings.
Thanks for the breakdown Niklas, I appreciate your input.
You can check it out yourself by liking their page and they’ll give you a free 3 days trial..
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With binary options, you can profit even when the market moves just a little, or not at all. The essence of trading is buy low, sell high, and keep the difference as profit. You need the market to move enough for reward to outweigh risk.
With binary options, you make a yes/no decision about a market’s direction and get a relatively quick result. At expiration, the market only has to be one tick in your favor for you to get the full payout of $100 per contract. In effect, you only have to be a little bit right to get the maximum profit. And you also have the flexibility to exit a trade early, either to lock in profits or cut your losses.
When the market moves against your position, you face a loss that could be devastating. Traditionally, you use a stop-loss order to get out with a manageable loss.
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In addition to the usual factors that influence an option's price, call buyers should know that their options also price in the impact of any dividend payments to be issued during the life of the contract. Specifically, a scheduled dividend payment will lower the extrinsic value of call options offered in the relevant series, as the market anticipates a predicted ex-div decline in the shares. In other words, call holders won't benefit from dividend payments the same way a shareholder would.
The potential profit on long call options is theoretically unlimited, as there's technically no concrete limit to how high the underlying stock can rise. However, it's probably fair to say you'd be happy with your bullish trade if XYZ rallied up to a reasonable $60 per share by the time options expiration rolls around.
To avoid taking a loss on the trade, you need XYZ to finish above the breakeven price of $52.45 by the time expiration rolls around (strike price of 45 + premium of 7.45). In other words, if XYZ closes anywhere at or below $52.44 upon expiration, you'll be swallowing a loss on your long call option.
With XYZ at $60, your 45-strike call would be worth $15 at expiration (15 points intrinsic value; no time value remaining). In order to collect your paper profit, you could sell to close your call contract for $1,500 (15 points intrinsic value x 100 shares).
Alternately, rather than selling to close the option, you could exercise your option to buy 100 shares of XYZ at $45 each. After accounting for the fact that your contract cost $7.45 per share, you would be buying the stock at an effective price of $52.45 (strike price of 45 + premium of 7.45) -- a modest discount to the current market price. Plus, as a bona fide shareholder, you would be able to participate in any continued uptrend by the stock.
Settlement − physical versus cash-settled futures edit
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Published on July 26th, 2017 | by John Kane
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This $200 extra gain is due to convexity and explains why option traders are willing to pay above the theoretical price for these options.
An example of being "long gamma" is a "long straddle"
What does it mean to be "long gamma" in options trading?
"The spread between the VIX sitting there at 20 for a period of time and this realized vol of only 10, that's a big spread. Options market makers will pay something to be long the convexity of options; they like to be long and are willing to pay away some of that negative carry."
First lets understand what convexity means:
Gamma - The rate of change for delta with respect to the underlying asset's price.