About the Book

This book presents a systematic approach to options trading, combining quantitative analysis with practical market wisdom. Written for traders and finance professionals who seek to understand options beyond the basics.

The strategies covered emphasize risk management, position sizing, and the mathematical foundations that underpin successful options trading. No hype, no get-rich-quick promises—just rigorous methodology applied to real markets.

What You'll Learn

  • Systematic frameworks for options strategy selection
  • Risk management principles for options portfolios
  • Quantitative methods for options pricing and analysis
  • Position sizing and portfolio construction techniques
  • Real-world applications and case studies

About the Author

The author is the founder of Stamgren Capital LLC, a quantitative trading firm specializing in systematic strategies. With years of experience in options markets, the approach combines academic rigor with practical trading expertise.

Learn more about our QOne Fund and our quantitative philosophy.

Get Your Copy

Available now on Amazon in both digital and print formats.

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Disclaimer: This book is for educational purposes only and does not constitute investment advice. Options trading involves substantial risk and is not suitable for all investors. Past performance is not indicative of future results.