Print Version of “Option Strategy / Risk Return Ratios” Now Available on Amazon

The Print and Kindle versions of my new book "Option Strategy Risk / Return Ratios: A Revolutionary New Approach to Optimizing, Adjusting, and Trading Any Option Income Strategy are now both available on Amazon.  The new Amazon link above provides access to both the Print and Kindle versions.

Not everyone has a Kindle and many readers (including myself) prefer print versions of non-fiction books, which often makes it easier to review charts and tables, highlight references, and even dog-ear pages for future reference.

Option Strategy / Risk Return Ratios

Option Strategy Risk / Return Ratios

Option Strategy Risk / Return Ratios

For the first time, the pivotal concepts of risk and return have been integrated successfully into a consistent approach for managing option income strategies. The risk/return ratios introduced in this book will allow you to evaluate, compare, adjust, and even optimize any option income strategy, on any underlying security, in any market environment.

Option Strategy Risk/Return Ratios is written in a clear, easy-to-understand fashion and explains how to apply risk/return ratios to condors, butterflies, calendars, double diagonals, and even hybrid income strategies.

If you purchase the book, please take the time to post a review on Amazon.  Your support would be greatly appreciated.  I look forward to your feedback on the book.

Trader Edge Strategy E-Subscription Now Available: 20% ROR

The Trader Edge Asset Allocation Rotational (AAR) Strategy is a conservative, long-only, asset allocation strategy that rotates monthly among five large asset classes. The AAR strategy has generated 20%+ annual returns over the 20+ year combined back and forward test period.  Please use the above link to learn more about the AAR strategy.

Brian Johnson's New Book is Now Available on Amazon

Option Strategy Risk / Return Ratios: A Revolutionary New Approach to Optimizing, Adjusting, and Trading Any Option Income Strategy


Your comments, feedback, and questions are always welcome and appreciated.  Please use the comment section at the bottom of this page or send me an email.


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Brian Johnson

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About Brian Johnson

I have been an investment professional for over 30 years. I worked as a fixed income portfolio manager, personally managing over $13 billion in assets for institutional clients. I was also the President of a financial consulting and software development firm, developing artificial intelligence based forecasting and risk management systems for institutional investment managers. I am now a full-time proprietary trader in options, futures, stocks, and ETFs using both algorithmic and discretionary trading strategies. In addition to my professional investment experience, I designed and taught courses in financial derivatives for both MBA and undergraduate business programs on a part-time basis for a number of years. I have also written four books on options and derivative strategies.
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