Diagonal spread
An Option strategy involving two options, one a Put and one a Call, with different expiration dates and strike prices.
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