HomeBest options strategy › AMP

Best Options Strategy for AMP

By Dennis Bosmans · Updated 2026 · 2 min read · Risk disclaimer

Looking for the best options strategy for Ameriprise Financial, Inc. (AMP)? There is no single answer — the right play depends on your outlook, your risk tolerance and current implied volatility. Below, our free engine shows the highest-scoring defined-risk strategy on the live AMP option chain right now, and a simple map from your view on AMP to the strategy that fits it. Model any of them in the calculator before you trade.

About AMP

Ameriprise Financial, Inc. (AMP) is a major company in Asset Management. Options traders on AMP tend to watch , since these can drive large moves in the share price.

About Ameriprise Financial, Inc.

Ameriprise Financial operates as a diversified financial services firm serving individuals and institutions across the United States and internationally. The company's primary business revolves around financial planning, investment advice, and wealth management for retail and institutional clients. Through its Advice & Wealth Management segment, it delivers advisory services, brokerage capabilities, investment accounts, mutual funds, insurance products, and annuities. The Asset Management division, operating under the Columbia Threadneedle Investments brand, manages a broad range of investment products including mutual funds, exchange-traded funds, separately managed accounts, hedge funds, and infrastructure funds for clients accessed through various distribution channels. Its Retirement & Protection Solutions segment focuses on variable annuities and life and disability insurance offerings directed at individual customers.

The company generates revenue primarily through advisory fees, asset management charges, insurance premiums, and commissions on financial products sold to its client base. Ameriprise operates at significant scale, managing assets for millions of clients…

Today's top-scoring strategy for AMP

Our engine ranks defined-risk strategies on the live AMP chain by probability of profit and risk/reward, then surfaces the best-scoring one. It is an educational illustration, not advice.

Long Call Butterfly neutral
Price: $100.00Implied volatility: 32%Expiration: 2026-07-17 (30d)
ActionQtyTypeStrikePremium
BuyCALL$95$6.83
SellCALL$100$3.82
BuyCALL$105$1.87
P/L at expiry vs today At expiry Today ±1σ
$82$100$118
Max Profit
$394
Max Loss
−$106
Net Debit (cost)
$106
Breakeven(s)
$96.06, $103.94
Position Greeks
Δ
0.43
Γ
−1.202
Θ
1.69
ν
−3.16
Time decay (price held)

Simulation

Forward simulation of 6,000 lognormal price paths to expiration — not a historical backtest.

Win rate
33%
Mean P/L
−$2
Median
−$106
Exp. move (1σ)
9%
5th pct
−$106
25th pct
−$106
75th pct
$96
95th pct
$333

Strategy analysis

Simulated price paths (time × price)
now $100BE $96BE $104$86$101$1160d15d30d
$-100$144$388

Greeks vs price

Δ — $ P/L per $1 move in the underlying (share-equivalent exposure).
Θ — $ P/L per day from time decay.
ν — $ P/L per +1% in implied volatility.
Γ — how fast delta changes per $1 move.

Price × volatility (today)

−30%−15%IV+15%+30%
$125−$105−$103−$99−$94−$89
$120−$102−$96−$88−$82−$77
$115−$88−$77−$69−$64−$61
$110−$50−$42−$40−$41−$43
$105$10−$1−$11−$20−$28
$100$42$18$0−$13−$23
$95$3−$7−$16−$25−$32
$90−$64−$55−$52−$51−$52
$85−$98−$91−$84−$78−$75
$80−$105−$103−$100−$96−$92
$75−$106−$106−$105−$104−$101
Analyze AMP in the calculator → Share this pick ↗

Illustrative example at AMP's latest available price, computed with the same engine as the tool. Live option fills and the real IV skew refresh during US market hours.

Implied volatility

AMP typically trades with moderate implied volatility, broadly in line with other large-cap stocks. Implied volatility drives option prices, so it is worth checking the live chain before you trade.

AMP insider trading activity (SEC Form 4)

Open-market insider transactions at AMP over roughly the last six months, from SEC Form 4 filings. Open-market buys are the rarer, more telling signal — routine selling under pre-arranged plans is common, so read a net-selling figure with that in mind.

Open-market buys
0 · —
Open-market sells
13 · $29.7M
Net (buy − sell)
−$29.7M
InsiderActionSharesValueDate
Brockman Dawn M.Sell472$264K2026-08-10
McGraw Deirdre DaveySell2,400$1.3M2026-08-06
Williams William JerrylSell908$492K2026-07-28
Williams William JerrylSell3,200$1.7M2026-07-28
Williams William JerrylSell4,102$2.2M2026-07-28
Berman Walter StanleySell422$232K2026-07-28

Source: SEC Form 4 filings via Finnhub. Open-market purchases (P) and sales (S) only — grants, option exercises, gifts and tax withholding are excluded. Informational context, not investment advice.

Earnings & IV crush

AMP's next earnings report is due around October 29, 2026. Options that expire after it price in a binary move, so their implied volatility is elevated and usually collapses right after the announcement — an "IV crush". If your expiration falls before this date, the trade sidesteps the event.

Dividend and assignment risk

AMP pays a dividend of about 1.2% a year, so short or covered calls on it carry early-assignment risk around each ex-dividend date — in-the-money calls are most exposed just before the stock goes ex-dividend.

Key figures

Market cap
$49.3B
Beta (vs market)
1.13
52-week range
$422.37–$572.56
Short interest
4.2% of float · 7.2 days to cover

How to choose an options strategy for AMP

Start with your outlook on AMP, then match it to a defined-risk structure. Here are the most common choices and when each makes sense:

Bullish

You expect AMP to rise

Buy a call for leverage with capped risk, or a bull call spread to lower the cost and breakeven when you have a target price.

Long Call → Bull Call Spread →

Bearish

You expect AMP to fall

Buy a put to profit from a decline with defined risk, or a bear put spread to cheapen the trade when you expect a measured move down.

Long Put → Bear Put Spread →

Neutral

You expect AMP to trade in a range

Sell an iron condor to collect premium while AMP stays between two strikes, or write a covered call against shares you already own.

Iron Condor → Covered Call →

⧉ Embed this free calculator on your site →

How we pick the best strategy

For each ticker we pull the live option chain, build every supported strategy around the at-the-money strikes, and score them on probability of profit, risk/reward and capital efficiency — favouring defined-risk structures where the maximum loss is known up front. Methodology →

Open AMP in the free calculator →

Frequently asked questions

What is the best options strategy for AMP?

It depends on your outlook. Bullish traders often use a long call or bull call spread on AMP; bearish traders a long put or bear put spread; neutral traders an iron condor or covered call. Our live scan above shows the current highest-scoring defined-risk play.

Are AMP options liquid enough to trade?

Ameriprise Financial, Inc. (AMP) is among the most actively-traded US options, which usually means tight bid/ask spreads and plenty of strikes and expirations — though you should always check the open interest and spread on the exact contract.

How much money do I need to trade AMP options?

Buying a single AMP call or put can cost as little as the premium (often one to a few hundred dollars), while income strategies like a cash-secured put need enough capital to buy 100 shares if assigned.

Is this financial advice?

No. Everything here is educational and uses delayed, third-party data. It is not a recommendation to trade AMP or any security. Do your own research.

What does Ameriprise Financial, Inc. do?

Ameriprise Financial, Inc. (AMP) operates in the Asset Management industry. The "About Ameriprise Financial, Inc." section above gives a fuller picture of what the company does and how it earns money.

Does Ameriprise Financial, Inc. pay a dividend?

Yes — Ameriprise Financial, Inc. currently pays a dividend yielding about 1.2%. If you hold the shares (for example to write a covered call), the ex-dividend date can trigger early assignment, so check it beforehand.

When does Ameriprise Financial, Inc. next report earnings?

Ameriprise Financial, Inc.'s next earnings are expected around October 29, 2026. Implied volatility usually climbs into the report and drops sharply afterwards (IV crush) — important for any options position held over the date.

Price trend

Short term · 1M
■ -1.3%
Mid term · 3M
▲ +23.8%
Long term · 1Y
▲ +12.2%

Tickers related to AMP

Comparing AMP with similar names can help you choose the best options strategy:

AIZAssurant, Inc.AONAon plcAVYAvery Dennison CorporationBENFranklin Resources, Inc.

Company information

Headquarters
1099 Ameriprise Financial Center, Minneapolis, MN, 55474, United States
Industry
Asset Management
Employees
13,600
CEO
Mr. James M. Cracchiolo CPA
Phone
612-671-3131
Website
www.ameriprise.com

Best Options Strategy by Ticker →

Educational use only. Quotes are delayed ~15 minutes and nothing here is financial advice. Options trading involves substantial risk of loss. Privacy · Terms.