Options

Option strategies in Skanestas aim at the realization of the speculative ideas ranked by the underlying asset dynamics. The main ideas are: to protect from boom or bust, to set the target price range, to mitigate market dynamics, or to speculate on the drastic market fluctuation.

The underlying asset can be a wide range of instruments: domestic and foreign indices (RTS, S & P500, DAX, NIKKEI) and shares (Gazprom, Sberbank, General Electric, Siemens, Toyota); currencies (ruble, dollar, euro); commodities (oil, gold).

Each strategy is agreed and implemented on an individual basis within the framework of the Brokerage services (recommended for experienced investors) or control by Skanestas as a Portfolio management services

Strategy for the protection from dollar boom

It can be implemented for any underlying asset: currency, metal, oil, stock indices

Strategy for the price range on dollar 72-74 rub

It can be implemented for any underlying asset: currency, metal, oil, stock indices