How Does an Options Collar Affect Your Portfolio?
A collar is an options strategy implemented to reduce a fund’s volatility and provide a measure of downside protection. “It minimizes your drawdown potential, while also minimizing your upside potential. For some investors, that feels better than just de-risking the old fashioned way — by selling,” Dave Nadig, director of research and CIO at ETF Trends, […] Read more at ETFtrends.com.