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The Risks and Complexities of Options Trading
This chapter explores the intricacies of options trading, focusing on call and put options with real-world implications using Tesla stock as a case study. It discusses significant risks, financial losses due to poor strategy, and highlights the responsibilities of financial advisors in guiding clients through investment choices. Additionally, the chapter examines the implications of using stock portfolios as collateral for home purchases, weighing the potential benefits against the risks of leveraging assets.