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Diagonal spread

An 

Option

 strategy involving two options, one a 

Put

 and one a 

Call

, with different expiration dates and strike prices.



Related Terms: 6

Call

,

Expiration date

,

Option

,

Put

,

Ratio

,

Rent


Other Related Pages:

Category: Options


Starting With: D


Semi Related Terms: 437  CLICK HERE TO VIEW

10-K

,

Asset/equity ratio

,

Adjustable rate

,

Asked price

,

Asking price

,

At par

,

All or any part

,

At best

,

At call

,

Adjustable rate preferred stock

,

Adjusted futures price

,

All-risks coverage

,

At risk

,

Add-on service

,

Attorney in fact

,

Adjustable Rate Mortgage

,

Adjustment date

,

Advance rate

,

Annual Percentage Rate

,

Applicable federal rate

,

A shares

,

Average price per share

,

Aggregate exercise price

,

American option

,

American-style option

,

Asian option

,

At the money

,

Average option

,

Absorption rate

,

Additional paid-in capital

,

At the bell

,

At the close

,

At the figure

,

At the full

,

At the market

,

At the opening order

,

Automated Pricing and Reporting System

,

Burn rate

,

Benchmark interest rate

,

Bid-to-cover ratio

,

Buying on margin

,

Buy on close

,

Buy on opening

,

Bank Rate

,

Base interest rate

,

Base rate

,

Blended rate

,

Broker loan rate

,

B shares

,

Buy and write

,

Balanced investment strategy

,

Barbell strategy

,

Bullet strategy

,

Break-even tax rate

,

Cash asset ratio

,

Cash ratio

,

Collection ratio

,

Cleared date

,

Call

,

Call date

,

Call price

,

Call protection

,

Call risk

,

Committee on Uniform Securities Identification Procedures

,

Conversion option

,

Conversion parity price

,

Conversion price

,

Conversion ratio

,

Coupon rate

,

Current production rate

,

Call money rate

,

Capitalization rate

,

Cap rate

,

Civilian unemployment rate

,

Consumer Price Index

,

Cash and carry trade

,

Cash price

,

Chicago Board Options Exchange

,

C shares

,

Call option

,

Call ratio backspread

,

Call swaption

,

Class of options

,

Covered call

,

Covered option

,

Covered put

,

Closing date

,

Cloud on title

,

Class A Shares

,

Class B Shares

,

Child and dependent care credit

,

Cup and handle

,

Close a position

,

Closing price

,

Curbs in

,

Date draft

,

Deposit in transit

,

Date of issue

,

Date of payment

,

Distribution date

,

Dollar price

,

Due date

,

Date of record

,

Dividend in arrears

,

Dividend payout ratio

,

Dividend rate

,

Discount rate

,

Delivery price

,

Dated date

,

Date of maturity

,

Debtor in possession

,

Debtor-in-possession financing

,

Due-on-sale clause

,

Deep in the money

,

Department of Housing and Urban Development

,

Defensive investment strategy

,

Efficiency ratio

,

Effective annual interest rate

,

Embedded option

,

Ex-legal

,

Exchange rate

,

Economic growth rate

,

E-mini

,

Ex-pit transaction

,

Effective date

,

Effective tax rate

,

Equity option

,

Ex-all

,

Exchange ratio

,

Exit strategy

,

European-style option

,

Exchange-traded option

,

Exercise ratio

,

Expiration cycle

,

Expiration date

,

Expiration time

,

Ex-warrants

,

Economic rent

,

Education IRA

,

Exclusion ratio

,

Ex-rights

,

Ex-rights date

,

First In First Out

,

Fixed-charge coverage ratio

,

Federal Savings and Loan Association

,

First call date

,

Floating-rate bond

,

Full price

,

Federal Call

,

Front-ending an order

,

Floating exchange rate

,

Foreign currency option

,

Foreign exchange rate

,

Forward exchange rate

,

Forward P/E

,

Federal Reserve Discount Rate

,

Free market price

,

Forward price

,

Futures option

,

Futures price

,

Form 8-K

,

Form S-1

,

Friends and family offering

,

Fixed rate

,

Fixed-rate loan

,

Fixed-Rate Mortgage

,

Floating rate

,

Forward interest rate

,

Forward Rate Agreement

,

Full faith and credit

,

Far option

,

Free and clear

,

G-7

,

GDP implicit price deflator

,

General Agreement on Tariffs and Trade

,

G-8

,

Growth strategy

,

Growth and income fund

,

Grant date

,

Group IRA

,

Gather in the stops

,

House call

,

Hedge ratio

,

Health Insurance Portability and Accountability Act

,

Holder in due course

,

High-ratio mortgage

,

Head and shoulders

,

Held at the opening

,

Horizontal price movement

,

In escrow

,

Interest rate collar

,

Interest rate risk

,

Interest rate swap

,

Issue date

,

In-house

,

In line

,

Inflation rate

,

Interest rate futures

,

Interbank Rate

,

Internal Rate of Return

,

In intestacy

,

Interest rate

,

Interest rate cap

,

Interest rate ceiling

,

Interest rate floor

,

In play

,

In-process research and development

,

Index option

,

Interest rate option

,

I/O strip

,

Income replacement ratio

,

In-service withdrawal

,

IRA rollover

,

In and out

,

In sympathy

,

In the tank

,

Jointly and severally

,

Joint and several liability

,

Joint and survivor annuity

,

Knock-out option

,

Last In First Out

,

Liquidity ratio

,

Law of one price

,

Lending at a rate

,

Limit-on-close order

,

Limit price

,

London International Financial Futures and Options Exchange

,

London Inter-Bank Offer Rate

,

Loan-value ratio

,

Lock-in

,

Lapsed option

,

Listed option

,

Ladder strategy

,

Locked in

,

Level I quotes

,

Market conversion price

,

Maturity date

,

Maintenance call

,

Make a market

,

Margin call

,

Margin rate

,

Market if touched order

,

Market on close order

,

Market rate

,

Money at call

,

Mortgage rate

,

Married put

,

Mill rate

,

Maximum price fluctuation

,

Nominal rate

,

Net capital ratio

,

Non-equity option

,

Null and void

,

Naked call

,

Naked option

,

Naked put

,

Near option

,

Non-qualified stock option

,

Non-statutory stock option

,

One time charge

,

Overhead ratio

,

Offering price

,

On-floor order

,

On margin

,

Option account

,

Operating rate

,

One-share one-vote rule

,

Option

,

Offering date

,

On account

,

On-the-spot loan

,

Option income fund

,

Option chain

,

Option contract

,

Option holder

,

Option margin

,

Option pool

,

Option premium

,

Option price

,

Option pricing curve

,

Options Clearing Corporation

,

Option series

,

Option spread

,

Options Prices Reporting Authority

,

Option writer

,

Old age, survivors, and disability insurance

,

On-balance volume

,

Odd lot buy/sell ratio

,

On close

,

One man picture

,

On open

,

On the opening

,

Option exchange

,

Profit and loss statement

,

Pass-through coupon rate

,

Payment date

,

Payment-in-kind security

,

Price Value of a Basis Point

,

Provisional call feature

,

Put bond

,

Put provision

,

Payable date

,

Payout ratio

,

P&L

,

Price index

,

Producer Price Index

,

Parity price

,

Price limit

,

Public offering price

,

Prime rate

,

Projected maturity date

,

Prime rate fund

,

Physical option

,

Price spread

,

Protective put

,

Protective put buying

,

Put

,

Put option

,

Put swaption

,

Put warrant

,

Paid-in capital

,

Paid-in surplus

,

Private Investment in Public Equity

,

Put ratio backspread

,

Point-and-figure chart

,

Profit ratio

,

Price range

,

Price-weighted index

,

Put/call ratio

,

Reports and Records

,

Retention rate

,

Return on Capital

,

Return on Invested Capital

,

Return on Total Assets

,

Run rate

,

Real interest rate

,

Reserve ratio

,

Rate covenant

,

Redemption date

,

Redemption price

,

Regulation D

,

Regulation G

,

Regulation T

,

Regulation U

,

Rate of exchange

,

Record date

,

Real economic growth rate

,

Retail Price Index

,

Ratio

,

Regulation A

,

Rate-improvement

,

Rate lock

,

Renegotiable rate

,

Ratio calendar combination

,

Ratio calendar spread

,

Ratio spread

,

Ratio write

,

Registered options principal

,

Rent

,

Rent control

,

Roth IRA

,

Ratio analysis

,

Return on Capital Employed

,

Rate of return

,

Real rate of return

,

Selling, General and Administrative Expenses

,

SG&A

,

Savings and Loan

,

S&L

,

Securities and Exchange Commission

,

Spot rate

,

Stop price

,

Savings rate

,

Swap rate

,

Settlement price

,

Spot price

,

Settlement options

,

Short interest ratio

,

Stock option

,

Stock option plan

,

Subscription price

,

Sale and leaseback

,

Start rate

,

Single option

,

Spread option

,

Strike index

,

Synthetic put

,

SIMPLE IRA

,

Simplified Employee Pension IRA

,

Spousal IRA

,

Share price

,

Split-adjusted price

,

Structured portfolio strategy

,

S Corporation

,

Standard mileage rate

,

Subchapter S Corporation

,

Schedule C

,

Seek a market

,

Settlement date

,

S&P phenomenon

,

Stop and reverse

,

T-Bill

,

Take a position

,

Two-sided market

,

Two-way market

,

Trailing P/E

,

Teaser rate

,

Truth in Lending

,

Two-step mortgage

,

Tenancy at will

,

Take a bath

,

Target price

,

Trade date

,

U.S. Government Agency Security

,

U.S. Savings Bond

,

U.S. Treasury

,

U.S. Treasury Bill

,

U.S. Treasury Bond

,

U.S. Treasury Note

,

U.S. Treasury Securities

,

Unemployment rate

,

Uncovered call

,

Uncovered option

,

Uncovered put

,

Variable rate

,

Variable ratio write

,

Variable ratio plan

,

With interest

,

Wage price spiral

,

Widow-and-orphan stock

,

W-2 Form

,

W formation

,

When, as, and if issued

,

X or XD

,

Year-To-Date

,

Yield to call

,

Y shares


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