This podcast interviews Jeff Fischer, a veteran investor with over three decades of experience, focusing on his approach to options trading as a complement to long-term stock investing. The conversation covers Fischer's preferred strategies (primarily selling puts for income generation), his approach to volatility (adjusting strategies based on market conditions), and the differences between institutional and retail investor perspectives. He emphasizes a fundamentals-based approach to stock selection, using options to enhance income and manage risk, suggesting a target of 1% monthly premium (or higher with weekly options). Listeners gain insights into options strategies for income generation and risk management, along with advice on incorporating options into a long-term investment strategy.
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