Why do 99 option buyers lose money?
Could you please elaborate on the reasons why 99 out of 100 option buyers end up losing money? I'm curious to understand the dynamics and factors that contribute to such a high percentage of losses. Could it be due to a lack of understanding of the underlying asset or market movements? Or is it more related to the use of leverage or improper risk management techniques? Could you provide some examples or scenarios that might explain this phenomenon? I'm eager to gain a deeper insight into this issue.