*** Proof of Product ***
Exploring the Essential Features of “Dan Sheridan – Credit Spread Trading In 2018”
In this class, Dan Sheridan shares with you how he constructs, trades, and manages Credit Spread Trades for Income.
Detailed Class Content
Class #1 Annotation: Foundational Issues for Credit Spreads
- 0- Intro, Class Schedule and Class Outline
- 1-11:35- Complete Options Portfolio
- 35:40- Overall Plan for $20,000 Credit Spread Portfolio
- 44:50- Analysis of SPX Price Action
- 48:30- Long Portfolio: 9 Day SPX Put Credit Spread
- 55:30- Long Portfolio: 30 Day SPX Put Credit Spread
- 57:10- Difference between SPX 20 Delta Call and 20 Delta Put?
- 58:55- ATM versus OTM Vega for Credit Spreads?
- 1:06:00- Best to do 10, 20, or 30 Delta Credit Spread?
- 1:10:60- Analyzing IV Levels for Width Determination of Credit Spreads
- 1:21:42- End
Class #2 Annotation: 13 Credit Spread Adjustments and 4 Step Risk Management Process
- 0- Intro
- 3:40- Credit Spread Example
- 10:55- Credit Spread Set up- Step 1
- 13:00- Profit and Loss and Max Loss Targets- Step 2
- 18:20- When to Adjust- Step 3
- 24:25- How to Adjust- Step 4 Thirteen Different Adjustments!
- 1:13:35- Adjustment Differences between Short term and Long Term Duration Trades
- 1:19:50- End
Class #3 Annotation: Misc Credit Spread Topics
- 0- Intro
- 10:15- Today’s Outline
- 13:04- Which Credit Spread Methodology should you do?
- 18:07- Review of Credit Spread Plan
- 20:15- Best Width for Credit Spreads?
- 32:25- Credit Spread with a Slight Hedge?
- 35:35- Best Vehicle for Credit Spreads?
- 36:55- ATM Credit Spreads
- 46:00- ATM Versus OTM Credit Spreads?
- 46:45- Managing Multiple Credit Spreads by buying in a short Put
- 49:10- Live Credit Spread Trade and 4 Step Risk Management Plan
- 1:02:00- End
Class #4 Annotation: Jay Bailey’s Directional Credit Spread System
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