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As usual, OptionVue 5's analytics are impeccable. -Larry McMillan
 

 

 

 

The Matrix - "A wealth of option-specific information"

Designed to provide the most complete picture as quickly as possible, OptionVue 5's Matrix is your portal to a wealth of option-specific information.

When you double-click on an asset from the Quotes Display, you automatically open the Matrix and can view all currently traded options for that security. Within each Matrix, you can view your current option trade positions and/or propose new trades. You can also generate a comprehensive Graphic Analysis of an existing or proposed trade using OptionVue 5’s proprietary Variable Volatility Model.

NEW! Color-Coded Standard Deviation! The Matrix is color-coded to help traders who like to open and maintain spreads at one to two standard deviations away from the current price of the underlying. The program can display all strikes that are within two standard deviations using a pastel background color. If a strike is within one standard deviation the program uses light fuchsia; otherwise it uses light aqua. These are lighter versions of the same two colors used in Graphic Analysis in the colored bars along the bottom to represent the 1st and 2nd standard deviations of price movement. You can even alter the volatility value to see how changes will affect your position.

The Matrix format is fully customizable, and allows you to set up to three default formats (highlighted in blue) for quicker access to the information you need. Format your Matrix to view your preferred data, including market price, volatilities and the Greeks, using OptionVue 5's extensive selection of parameters:

OptionVue 5 is ideal for SPX and S&P 500 traders!

To obtain a complete picture on any option, select the Expand View and each of the 41 options-related parameters can be seen from one simple-to-read window.

You can even project option prices by changing the price of the underlying security... a fast and simple way to do “what if” analysis while watching the parameters recalculate as you test.

The Summary section at the bottom of the Matrix displays the important criteria relative to your existing or proposed position including:

  • Margin requirements
  • Cash flow
  • Current value
  • Profit/loss of open trades

The position-combined Greeks, average put and call volatilities, and the put/call ratio can be in view at all times.

If desired, long, short and net call and put contracts can be viewed in place of margin requirements.

Enter your positons or potential trades into the Matrix and generate a dynamic Graphic Analysis of your trade.

Back to the Quotes Display On to the Graphic Analysis

 

 
 

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