Quote from TheGoonior:
Not exactly no risk, but what about a 12 month collar?
Buy 100 SRS,
Sell 1 Jan 2011, 10C
Buy 1 Jan 2011, 7.5P
Risk = $-0.39. (Close below 7.5)
Reward = $2.11 (Close Above 10)
Use TOS GTC Collar order and shave a few cents off the ask price...
Main drawback with collars is that you normally need to hold them the full duration (can be a pain to back out ahead of time).
Is what you propose much better than simply buying SRS for 7.25 and then put your stop loss at 6.86?
You'll have a risk of 39 cents as well but unlimited profit possibilty.
Plus you are more flexible in changing your position along the way.
Of course with the Collar you can simply sit a heavy pullback out and wait for a recovery.