Options are complex, high-risk products and require knowledge, investment experience and, in many applications, high risk acceptance. We recommend that before you invest in options, you inform yourself well about the operation and risks.

Introducing episode 28 - where customers take the biggest risks in options trading

"Episode 28 - where customers take the biggest risks in options trading" provides an insightful look into the common pitfalls traders face when navigating the options market. Koen and Peter discuss how traders can take on too much risk, especially with leverage, and provide practical strategies to mitigate those risks.

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Key areas of risk

  • Diversification and ETFs: While diversification through ETFs can reduce risk, traders must remain aware that even ETFs can experience large declines, as demonstrated by the Nasdaq's 85% drop in the early 2000s.
  • Individual shares: Investing in individual stocks can be risky, with the potential for 100% losses if a company goes bankrupt. Even large, stable companies are not immune to market downturns.
  • Leverage and margin: Leveraging through margin accounts or options significantly increases risk. If market conditions turn against a trader, losses can exceed the initial investment.
  • Options and leverage: The episode highlights how options trading introduces leverage. For example, selling naked puts can lead to massive losses when stock prices drop and volatility spikes, forcing traders to close positions at a loss.

Managing risk

  • Smaller risks and defined-risk strategies: Koen and Peter emphasize the importance of keeping margin utilization below 85-90% and using defined-risk strategies like put spreads, rather than naked options, to minimize potential losses.
  • Proper position sizing: Understanding worst-case scenarios and sizing positions appropriately is crucial to effective risk management.

Why listen to episode 28? For traders looking to strengthen their risk management strategies, Episode 28 of 'Saxo Options Talk' is essential. Packed with practical advice, this episode will help you understand how to balance risk and reward, especially when leveraging options.

Subscribe and stay ahead

Ensure you don't miss this insightful episode by subscribing to 'Saxo Options Talk' on Podbean, or on Spotify. Keep yourself updated with the latest strategies and discussions in options trading.

Join the discussion

After tuning in, join me on my X profile or my Threads profile to share your thoughts and insights on the episode. It's an excellent platform for engaging with fellow traders and enhancing our collective understanding of options strategies.

Your questions, our answers

We're eager to hear from you! Send your options-related questions to [email protected]. Selected questions will be addressed in future episodes, providing customized advice and insights.

Conclusion:

"Episode 28 - where customers take the biggest risks in options trading" equips traders with the knowledge to manage risk effectively, particularly when using leverage. Koen and Peter’s expert insights and practical tips provide a comprehensive guide to avoiding devastating losses and optimizing risk management in options trading. Tune in to transform your trading strategies and protect your capital in volatile markets.

Previous episodes of the "Saxo Options Talk" podcast
  • Options Talk - Episode 27 - Building a larger option position | 11 Sep 2024
  • Options Talk - Episode 26 - US options on ETFs | 05 Sep 2024
  • Options Talk - Episode 25 - mastering the Greeks in options trading
  • Options Talk - Episode 24 - the dispersion trade and how to handle it
  • Options Talk - Episode 23 - navigating earnings season | 24 Jul 2024
  • Options Talk - Episode 22 - plain shares vs combo with options | 10 Jul 2024
  • Options Talk - Episode 21 - getting started with options | 3 Jul 2024
  • Options Talk - Episode 20 - long term options | 26 Jun 2024
  • Options Talk - Episode 19 - exploring ratio put spreads | 19 Jun 2024
  • Options Talk - Episode 18 - use case - ITM - ATM or OTM calls | 12 Jun 2024
  • Options Talk - Episode 17 - mastering timespreads - calendar and diagonal strategies | 5 Jun 2024
  • Options Talk - Episode 16 - volatility unveiled - understanding market calm | 29 May 2024
  • Options Talk - Episode 15 - FX Options | 10 Apr 2024
  • Options Talk - Episode 14 - Safeguarding Assets - Options for the Prudent Investor | 3 Apr 2024
  • Options Talk - Episode 13 - The Versatility of Strangles - Long and Short Strategies | 27 Mar 2024
  • Options Talk - Episode 12 - Defined vs Undefined Risk Strategies | 20 Mar 2024
  • Options Talk - Episode 11 - Stretched Synthetic Stock Using Options | 13 Mar 2024
  • Options Talk - Episode 10 - Synthetic Stock | 6 Mar 2024
  • Options Talk - Episode 09 - Volatility | 28 Feb 2024
  • Options Talk - Episode 08 - Rolling | 21 Feb 2024
  • Options Talk - Episode 07 - Put Spreads | 14 Feb 2024
  • Options Talk - Episode 06 - Delta | 7 Feb 2024
  • Options Talk - Episode 05 - Short Call Spreads | 31 Jan 2024
  • Options Talk - Episode 04 - Long Call Spreads | 24 Jan 2024
  • Options Talk - Episode 03 - Long Calls | 17 Jan 2024
  • Options Talk - Introducing - Options Talk by Koen and Peter - Your Weekly on Options Trading | 10 Jan 2024
Previous "Investing with options" articles
  • Smart Investor - exploring options - a strategic tool for investors | 17 Sep 2024
  • Smart Investor - diversifying with long-term options in defensive ETFs - a case study | 16 Sep 2024
  • Seeing the US Markets through VIX glasses - volatility insights for the Smart Investor | 16 Jul 2024
  • Smart Investor - Volatility - what is it and why it is important | 12 Jul 2024
  • Smart Investor - Nike investors options toolkit | 10 Jul 2024
  • Smart Investor - Improve your returns on Tesla with covered calls | 5 Jul 2024
  • Smart investor - hidden dangers beneath the surface of a calm market | 3 Jul 2024
  • Smart investor - efficient diversification using sector etf options | 21 Jun 2024
  • Investors Options Toolkit | 14 Jun 2024
  • Mastering covered calls - a strategic guide for Apple investors | 3 Jun 2024
  • Post-earnings checklist - Nvidia - Q1 2024 | 27 May 2024
  • Investing with Options - Gold Optionality | 8 Mar 2024
  • Investing with Options - Securing Your Tech Stock Gains with Simple Hedging Strategies - 2 of 2 | 19 Feb 2024
  • Investing with Options - Securing Your Tech Stock Gains with Simple Hedging Strategies - 1 of 2 | 19 Feb 2024
  • Investing with Options - Microsoft - Buying Stock or Options - A Comparison | 2 Feb 2024
Previous "What are your options" articles
  • What Are Your FX Options - NZDUSD and NZDJPY | 23 Feb 2024
  • What Are Your FX Options - USDJPY - After 148 Breakout | 12 Feb 2024
  • What Are Your Options - Tesla Q4 Earnings | 24 Jan 2024
  • What Are Your FX Options - EURUSD Elevated Volatility | 18 Jan 2024
  • What Are Your Options - Coinbase After BTC ETF Approval | 12 Jan 2024
  • What Are Your Options - Nvidia Earnings | 21 Nov 2023
Other related articles
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  • From zero to hero - selling options
  • From zero to hero - option strategies
  • From zero to hero - options lexicon
Why options strategies belong in every trader's toolbox
Understanding and calculating the expected move of a stock ETF index 
Understanding Delta - a key guide for Investors and Traders
  • Part 1
  • Part 2

Options are complex, high-risk products and require knowledge, investment experience and, in many applications, high risk acceptance. We recommend that before you invest in options, you inform yourself well about the operation and risks. In Saxo Bank's Terms of Use you will find more information on this in the Important Information Options, Futures, Margin and Deficit Procedure. You can also consult the Essential Information Document of the option you want to invest in on Saxo Bank's website.