By using complex option and spread strategies, Red Kings is able to effectively manage risk and generate weekly guaranteed income for the firm. Our methodology revolves around executing multi-leg derivative contracts on a single underlying asset concurrently. Doing so enables us to consistently outperform all relevant indices within equity markets. By using standard deviation analysis, and targeting high alpha, we are able to deliver exceptional results and services that exceed the industry average by a factor of five. All of our investment methods have been rigorously tested, adjusted, and monitored in order to eliminate any potential deficiencies.