- Options 101: Beginner Tutorial
- Option Payoff Excel Tutorial
- Option Pricing
- Option Greeks
- Option Strategies
- Volatility
- Technical Analysis
- Performance and Risk Metrics
- Statistics for Finance
- Resources (Brokers, Data, Software)
- Other Tutorials and Notes
- Glossary
Options 101: Beginner Tutorial
- What Is an Option?
- Basic Options Terms and Concepts
- 5 Basic Characteristics of Every Option
- Call Options vs. Put Options
- Underlying Asset of an Option
- Exercising Options and Expiration
- American vs. European Options (and Why They Are Called That)
- Underlying Price and How It Affects Option Values
- Option Intrinsic Value
- Option Moneyness Explained
- In the Money, At the Money, Out of the Money
- Option Time Value Explained
- Put-Call Parity Formula
Option Payoff Excel Tutorial
- Calculating Call and Put Option Payoff in Excel
- Merging Call and Put Payoff Calculations
- Short Option Payoff and Position Size
- Calculating Option Strategy Payoff in Excel
- Drawing Option Payoff Diagrams in Excel
- Calculating Option Strategy Maximum Profit and Loss
- Calculating Option Strategy Risk-Reward Ratio
- Calculating Option Strategy Break-Even Points
- Option Strategy Payoff Spreadsheet: Further Improvements
Option Pricing
Option Greeks
- Option Delta
- Option Gamma
- Option Theta
- Option Vega
- Option Rho
- Higher Order Greeks
- Option Greeks Excel Formulas
- Measuring Directional Exposure with Delta: Single Option and Option Spreads
- Delta Hedging: Calculations, Adjustments, Long vs. Short Options
- Delta of Calls vs. Puts and Probability of Expiring In the Money
Option Strategies
- All Option Strategies List A-Z
- By Category
- By Number of Legs
- By Direction and Volatility Exposure
- By Greek Exposure
- By Profit and Loss Potential
Volatility
- Historical Volatility
- Implied Volatility
- Difference between Implied, Realized and Historical Volatility
Technical Analysis
- Average True Range (ATR)
- Relative Strength Index (RSI)
- Moving Averages
- MACD (Moving Average Convergence-Divergence)
Performance and Risk Metrics
Statistics for Finance
- Arithmetic Average Advantages and Disadvantages
- Arithmetic Average: When to Use It and When Not
- Why Arithmetic Average Fails to Measure Average Percentage Return over Time
- Why You Need Weighted Average for Calculating Total Portfolio Return
- Median Definition and Calculation
- Calculating Variance and Standard Deviation in 4 Easy Steps
- Population vs. Sample Variance and Standard Deviation
- Skewness Formula
- Kurtosis Formula
- Correlation
Resources (Brokers, Data, Software)
Other Tutorials and Notes
- Stocks and Stock Indexes
- Number of Trading Days per Year
- Excel Reverse Date Problem and How to Fix It
- Asset Classes: List, Characteristics, Asset Allocation
- Alternative Investments
- SEC 13F: How to Get and Use 13F Filings
- Wall Street Sayings