|
S.T.O.R.M. Starr Group Trading Options Risk Management Option strategies that are used to speculate on the direction of individual equities and markets have a defined amount of risk. In return for the leverage gained through the use of an option, an investor may sustain a total loss of principal in a relatively short period of time. Option strategies that are used to hedge may help protect investment assets and may reduce the affects of market volatility on a portfolio. Our goal is to help client’s manage their portfolio risk. Learn more about the option strategies and risk management techniques we employ that may help protect your assets from market storms. Call us today or request an investor package. What We Offer
Option trading involves a number of inherent risks and is not suitable for everyone. Investors considering options should consult with a tax advisor. Supporting documentation will be supplied upon request. Be sure to read the Option Clearing Corp.'s Option Disclosure Document (ODD) carefully before investing. It can be accessed at http://www.theocc.com/publications/risks/riskchap1.jsp. A copy can also be obtained by writing to Stifel, Nicolaus & Company, Incorporated, One Financial Plaza, 501 North Broadway, St. Louis, Missouri 63102, or calling (314) 342-2000. Member NYSE/SIPC. |
Contact Info
237 Park Avenue, 8th Floor
New York, NY 10017
Phone: (800) 225-8532
Fax: (212) 682-3422