BUY-WRITE: SAFE HARBOR IN TROUBLED TIMES?

Aug 9, 2019

By Nathaniel Luce

Publication: WALL STREET JOURNAL

A financial strategy that involves investing in the Standard & Poor’s 500 index and then selling publicly traded investment contracts known as “call options” against the portfolio is described. A study of the strategy by ROBERT WHALEY, Valere Blair Potter Professor of Finance, is mentioned.

 

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