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About Mark
Mark W. Guthner is a veteran of the financial services industry. His skills and experience stretch across multiple disciplines including trading, portfolio and risk management, securities analysis and valuation, investment banking, and financial technology as well. He served as a principal, portfolio manager, proprietary trader, and equity derivative strategist at Banc of America Securities, CRT Capital Group LLC, and Dash Financial LLC. Mr. Guthner is currently applying artificial intelligence to ETS and options on ETFs as a means of beating the broad popular averages like the S&P500 or generating alpha in market neutral strategies. Finally, he is a Professor of Financial Practice at Rutgers University where he teaches Portfolio Theory, Investment Analytics, and Financial Modeling.
Mark's Videos
Mark Guthner explains that the long-term low volatility environment--created by central bank interventions--has made investors complacent
At TradersExpo New York, Mark Guthner: how to make options trades to maximize your profits. Get your timing and direction right. Match conviction on your idea with size of move and strategy.
At Traders Expo New York, Mark Guthner on TheOptionsEdge.com, an information and education site for retail investors. Half of what we produce is free, just go on and register.
Mark's Books
Mark Guthner
The Options Edge: An Intuitive Approach to Generating Consistent Profits for the Novice to the Experienced Practitioner
The Options Edge shows you how to capture the fortune you lose out on every day. Buying and selling traditional investments often entails instruments with optionality. Sometimes this optionality is explicit, while other times it is hidden.