Hideki Horikawa's Nikkei 225 Options Trading Practical Seminar
The recently held "Horikawa Hideki's Nikkei 225 Options Trading Practical Seminar 2" was
ended in great success.
The sale of DVDs and video content has now begun!
You can view a sample below.
Seminar Contents
Part 1: From steady-profit selling strategies to steps for changing positions
◇ Short, Long, Strangle, and Straddle strategies
◇ The key to profits is this! How to choose the strike price when selling or buying
◇ When profits are as expected, the timeframes for adding to positions and the procedures
◇ Recovery strategies for underperforming positions: how to think about and create exit routes
◇ Securing profits ahead of SQ calculation and timing to roll into the next expiration
Part 2: Mastering spread strategies completely — key points of combinations
◇ Credit spread strategies that limit maximum losses
◇ Debit spread strategies: going bullish with protection
◇ Ratio spread strategies that are defensive yet can deliver big gains
◇ Calendar spread strategies ahead of the SQ calculation
◇ Backspread strategies to prepare for Black Swan events
【Announcement】
The long-awaited third installment will be held on December 9, 2017.
We will thoroughly explain professional trading strategies!
In this third live seminar, regarding Nikkei 225 options trading
practical trading strategies and risk-management strategies to prepare for major market moves will be clearly explained.
【Seminar Contents】
Part 1: Master the Greek letters completely and use them in practical trading
◇ If you can read changes in option prices, you can place appropriate limit orders
◇ Delta: the most important indicator of the strength of your position
◇ Gamma: a long/short strategy that anticipates delta changes
◇ Vega: understanding the relationship between volatility changes and option prices
◇ Theta: an indicator that can calculate daily earnings
◇ Synthesis futures from option trading: conversions and reversals
Part 2: Risk-management options trading — prepare for the looming market swings
◇ The market with the worst liquidity in history — re-examined with data from that day
◇ In market moves, what is scary is not the price range but margin management
◇ Timing to pair options buying strategies with large market movements
◇ Strategies anticipating volatility rises — buy options + futures
◇ Timing for cutting position losses — how to use night sessions
◇ If you want to earn over 1 million yen per month... here's how to adjust that strategy
It's perfectly fine to participate even if it's your only time.
Please do participate enthusiastically!
Horikawa Hideki's Nikkei 225 Options Trading: Clear explanations of trading strategies
Daily trading strategies delivered in real time!
The "Investment Salon" delivers daily trading strategies.

'Mr. Derivative's Spot-On Preview! Key Points for Winning in Nikkei 225'
Monthly fee: 4,500 yen
