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The stock market is a beautiful amalgamation of various mathematical concepts applied to real life, with a financial incentive for those that speak its language


If you like math, have a high risk profile of 4 or higher, and are generally good with managing your finances, then this section is for you. If any of those three circumstances are not true for you, be warned: advanced investment strategies using stock options can ruin your life if you are not careful.


In this section, we will discuss the definition of derivative strategies using Stock Options, normalizing options plays using Expected Value and Monte Carlo Simulations, and how to put it all into practice with Portfolio Management.


While there is an abundance of financial instruments and strategies, it is important to recognize that the benefits often diminish as complexity increases. This section will discuss the upside of applying a long-term investment mentality to leveraged investment vehicles that can produce incredible results when deployed tactically.

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