Quick Take: Low Cost Bullish Put Hedge Strategy

Time Frame: One to Twelve Weeks.

Stock: Bullish Market Edge Opinion – Long Stock Position.

Desired Stock Price Direction: Sideways to Up.

Option Position: Short ATM Put – Long ATM -1 Put (Bullish Put Credit Spread) and Long ATM deferred Put.

Desired Result: Stock stays flat or moves up in price.

Maximum Risk: The stock declines in value. The loss is offset by the amount of the credit spread and the appreciation in the deferred anchor put.

Summary: If the stock stays flat or moves up, the credit spread will expire worthless and you will keep the credit. However, the deferred put will decline in value in line with the long stock position price rise. If the long stock position moves down, the loss will be offset by the amount of the credit spread and the appreciation in the deferred anchor put.

Quick Take: Low Cost Bearish Call Hedge Strategy

Time Frame: One to Twelve Weeks.

Stock: Bearish Market Edge Opinion – Short Stock Position.

Desired Stock Price Direction: Sideways to Down.

Option Position: Short ATM Call – Long ATM +1 Call (Bearish Call Credit Spread) and Long ATM deferred Call.

Desired Result: Stock stays flat or moves down in price.

Maximum Risk: The stock rises in value. The loss is offset by the amount of the credit spread and the appreciation in the deferred anchor call.

Summary: If the stock stays flat or moves down, the credit spread will expire worthless and you will keep the credit. However, the deferred call will decline in value in line with the stock’s price decline. If the short stock position moves up, the loss will be offset by the amount of the credit spread and the appreciation in the deferred anchor call.

The following are this week’s Low Cost Put Hedge Selections and the results for the previous week’s Open Positions. Each week, if conditions warrant one or more new stock positions are added to the Open Positions list. These stocks have a Bullish technical Opinion from Market Edge. The stocks and option spreads are added to the portfolio based on Monday’s opening prices. The stocks are removed from the portfolio after twelve weeks or if the Market Edge Opinion is downgraded from Bullish. To  access The Low Cost Put Hedge informative booklet click on the Get The Booklet tab located on the home page or at the bottom of this page.

 This Week’s Low Cost Bullish Put Selections

There are NO NEW SELECTIONS this week:

Model Portfolio – Track Record
The performance figures for the Model Portfolio are based on a hypothetical bank roll of $100,000. Dividends and transaction fees are not included in the calculations. A * before the stock symbol indicates a short sale. The anchor put debit/credits are included in the results once the position is closed.

S&P: 01/26/18 2872.87 Dollar Profit/Loss = Stock Price Friday – Adjusted Stock Price + (Anchor
S&P: 11/23/18 2632.56  Close Credit – Anchor Open Debit) When The Position Is Closed
S&P Points Gain/Loss: -240.31
S&P % Gain/Loss: -8.4% Adjusted Stock Price = Open Stock Price – Total Spread Profit / Loss
Risk Capital: $100,000 Spread Losses Occur When The Stock’s Friday Close Is Below
Put-Call Hedge P/L: $1,234   The Short  Put Strike Price
Put-Call Hedge % Return: 1.2%
# Of Weeks-Open Positions: 34 Anchor Put – Debit/Credits Included In P/L Calculations Only When
Hedge To S&P P/L Ratio: 5.0 :1    Positions Are Closed
Win % – Adjusted Prices: 50.0%
Annualized % P/L: 1.9%
Transaction Costs & Dividends Not Included
*  After Symbol Denotes Short Stock Position
Open Open Anchor Anchor Total Adjust Close Stock Anchor Dollar     % Anchor
Date Stock Strike Open Spread Stock Date Price Close Profit Profit Exp
Stock Monday Price Price Debit P/L Price Friday Friday Credit Loss Loss Date
CELG 01/29/18 $105.23 105.0 $5.50 -$0.59 $105.82 02/16/18 $95.26 $10.40 -$5.66 -5.4% 04/20/18
GILD 01/29/18 $87.82 87.5 $4.50 $0.43 $87.39 04/06/18 $73.41 $14.27 -$4.21 -4.8% 04/20/18
SLB 01/29/18 $77.18 77.0 $1.72 -$2.19 $79.37 02/16/18 $66.28 $10.20 -$4.61 -6.0% 04/20/18
EA 01/29/18 $116.12 115.0 $4.60 -$1.62 $117.74 04/20/18 $120.89 $0.00 -$1.45 -1.2% 04/20/18
ADSK 01/29/18 $117.84 115.0 $5.80 -$2.59 $120.43 05/11/18 $136.21 $0.00 $9.98 8.5% 04/20/18
WDC 01/29/18 $89.33 90.0 $5.50 -$3.32 $92.65 05/04/18 $80.88 $12.75 -$4.52 -5.1% 05/25/18
PEP 02/05/18 $118.24 120.0 $4.35 -$1.12 $119.36 02/09/18 $111.18 $7.35 -$5.18 -4.4% 04/20/18
XOM 02/05/18 $82.98 82.5 $2.75 -$1.21 $84.19 02/16/18 $76.54 $6.15 -$4.25 -5.1% 04/20/18
DECK 02/12/18 $93.90 92.5 $5.15 $2.11 $91.79 04/20/18 $89.00 $3.50 -$4.44 -4.7% 04/20/18
NOW 02/19/18 $154.18 155.0 $7.40 -$0.55 $154.73 05/18/18 $173.94 $0.00 $11.81 7.7% 04/20/18
WDAY 02/19/18 $125.25 125.0 $7.53 -$1.81 $127.06 05/04/18 $130.05 $0.00 -$4.54 -3.6% 04/20/18
JPM 02/26/18 $117.90 120.0 $5.10 -$3.54 $121.44 03/23/18 $107.01 $13.60 -$5.93 -5.0% 04/20/18
SWKS 03/05/18 $109.14 110.0 $6.70 -$4.32 $113.46 04/06/18 $95.56 $14.70 -$9.90 -9.1% 05/18/18
ATHN 03/26/18 $139.00 140.0 $6.70 $3.03 $135.97 04/20/18 $146.07 $5.80 $9.20 6.6% 06/15/18
AMT 04/02/18 $146.40 145.0 $4.18 -$2.44 $148.84 04/13/18 $138.90 $7.30 -$6.82 -4.7% 05/18/18
TLT 04/09/18 $120.67 120.0 $2.47 $0.53 $120.14 05/18/18 $117.21 $2.79 -$2.61 -2.2% 05/18/18
PG 04/16/18 $78.28 77.5 $2.70 -$1.17 $79.45 05/04/18 $72.43 $5.75 -$3.97 -5.1% 07/20/18
Open Open Anchor Anchor Total Adjust Close Stock Anchor Dollar     % Anchor
Date Stock Strike Open Spread Stock Date Price Close Profit Profit Exp
Stock Monday Price Price Debit P/L Price Friday Friday Credit Loss Loss Date
MSFT 04/23/18 $95.36 95.0 $4.45 $0.70 $94.66 07/13/18 $105.43 $0.06 $6.38 6.7% 07/20/18
CVX 04/23/18 $122.40 120.0 $4.00 -$0.45 $122.85 07/13/18 $124.04 $0.19 -$2.62 -2.1% 07/20/18
MCD 04/30/18 $166.00 165.0 $4.65 -$3.35 $169.35 06/29/18 $156.69 $8.40 -$8.91 -5.4% 07/20/18
XLE 05/07/18 $75.33 75.0 $2.43 $0.92 $74.41 07/20/18 $74.88 $0.13 -$1.84 -2.4% 07/20/18
ALXN 05/07/18 $117.46 115.0 $5.90 $0.42 $117.04 05/25/18 $117.74 $7.35 $2.15 1.8% 07/20/18
LULU 05/14/18 $98.68 100.0 $8.45 $1.06 $97.62 08/03/18 $126.08 $0.00 $20.01 20.3% 09/21/18
HSY 05/21/18 $92.50 95.0 $5.30 $0.29 $92.21 08/10/18 $97.70 $0.16 $0.35 0.4% 08/17/18
PYPL 05/21/18 $81.35 82.5 $4.85 $2.67 $78.68 08/10/18 $87.01 $0.10 $3.58 4.4% 08/17/18
SWKS 05/29/18 $100.02 100.0 $5.30 -$0.11 $100.13 07/27/18 $95.20 $5.50 -$4.73 -4.7% 08/17/18
UTX 05/29/18 $126.48 125.0 $3.50 $2.23 $124.25 08/17/18 $134.44 $0.00 $6.69 5.3% 08/17/18
PEP 06/04/18 $100.31 100.0 $2.50 $2.02 $98.29 08/24/18 $112.15 $0.00 $11.36 11.3% 08/17/18
V 06/11/18 $134.54 135.0 $4.90 $3.84 $130.70 08/31/18 $146.89 $0.25 $11.54 8.6% 09/21/18
LOW 07/02/18 $94.17 95.0 $5.28 $1.33 $92.84 08/10/18 $98.31 $6.20 $6.39 6.8% 10/19/18
EW 07/09/18 $146.47 145.0 $8.60 $1.36 $145.11 08/24/18 $141.73 $8.40 -$3.58 -2.4% 11/16/18
DE 07/16/18 $135.89 135.0 $5.75 $1.22 $134.67 08/03/18 $143.36 $0.00 $2.94 2.2% 09/21/18
Open Open Anchor Anchor Total Adjust Close Stock Anchor Dollar     % Anchor
Date Stock Strike Open Spread Stock Date Price Close Profit Profit Exp
Stock Monday Price Price Debit P/L Price Friday Friday Credit Loss Loss Date
PM 07/23/18 $83.44 82.5 $3.75 -$0.76 $84.20 9/14/18 $78.60 $5.55 -$3.80 -4.6% 10/19/18
WMT 07/23/18 $87.94 87.5 $3.00 $0.34 $87.60 09/28/18 $93.91 $0.21 $3.52 4.0% 10/19/18