Options Strategy (Online)NEW

Select
Date(s)
December 7, 2022–February 1, 2023
Cost
$2,600
CIBE Credits
2
Format
Online
Location
Online

Options Strategy (Online)


Select
Date(s)
December 7, 2022–February 1, 2023
Cost
$2,600
CIBE Credits
2
Format
Online
Location
Online

Overview

Impact

Program Structure

Introduction to Options

Following a high-level overview of derivatives in general, explore how and why investors trade options.

Participant Profile

Faculty

columbia

Michael Johannes

Ann F. Kaplan Professor of Finance, Columbia Business School

columbia

Michael Johannes

Ann F. Kaplan Professor of Finance, Columbia Business School

Professor Johannes strives to understand financial markets with a particular focus on market crises, crashes, and volatility. His research analyzes the empirical content of fixed-income and derivative securities pricing models. These topics are generally viewed through options markets — markets that provide a unique view into how these risks are priced by options and how these risks can be managed by trading options. Professor Johannes joined the faculty at Columbia in 2005 and holds a PhD and an MA in Economics from the University of Chicago. In addition to teaching and researching at Columbia Business School, Professor Johannes has also spent significant time working in the financial industry for banks and hedge funds that actively trade in options and derivatives markets.

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