Risk Management - Positions 3 to 6 Months, 9 Months > (Options Contracts)
Posted: June 20th, 2023, 3:59 am
Hello,
What would be some good risk management methods for holding Trading Positions for 3 to 6 Months, and some 9 months or more for Options Contracts, that are holding a Long position of a Call or Put ? f
A Bull Call Spread or Bear Put Spread are a way to customely create risk reward ratios, but if one prescribes that, if there could be something that can enhance a typical Bull Call Spread and Bear Put Spread than the usual way. Also a disadvantage with a Bull Call Spread or Bear Call Spread, that to likely reach the Maximum Payout, you would have to wait basically until expiration date (If that could be adjusted, huge plus).
What would be some good risk management methods for holding Trading Positions for 3 to 6 Months, and some 9 months or more for Options Contracts, that are holding a Long position of a Call or Put ? f
A Bull Call Spread or Bear Put Spread are a way to customely create risk reward ratios, but if one prescribes that, if there could be something that can enhance a typical Bull Call Spread and Bear Put Spread than the usual way. Also a disadvantage with a Bull Call Spread or Bear Call Spread, that to likely reach the Maximum Payout, you would have to wait basically until expiration date (If that could be adjusted, huge plus).