Last Week’s Scoreboard:  Short-Term Trades

Risk Capital: $20,000
Week $ Win: $272
Week $ Loss: -$875
Week $ Profit/Loss: -$603
Week % Profit/Loss: -3.0%
Annualized % Profit/Loss: 5.5%
Week – Win %: 40.0%
Bullish Trades Bearish Trades
Blow Off Bottoms-Bullish Trades # Blow Off Tops-Bearish Trades #
Stock Profit Loss Spreads Stock Profit Loss Spreads
NVDA -$558.00 1 1
CAT -$192.00 1
UTX $199.00 1
One-Day Wonder-Bullish Trades # One-Day Wonder-Bearish Trades #
Stock Profit Loss Spreads Stock Profit Loss Spreads
1 1
Bullish-Put Credit Spreads # Bearish-Call Credit Spreads #
Stock Profit Loss Spreads Stock Profit Loss Spreads
IBM -$125.00 1 1
RCL $73.00 1
Bullish-Earnings Trades # Bearish-Earnings Trades #
Stock Profit Loss Spreads Stock Profit Loss Spreads
1 1
  Cummulative Track Record
% Annualized # Of # Of
Win % P/L % P/L Trades Weeks
51.9% 0.1% 5.5% 34 5
*Transaction Fees & Dividends Not Included
Dollar Neutral: Results Based On 1 To 5 Spread Position Per Trade Depending On The Spread’s Width.
Spread Width – 1 Wide = 5 Spreads Spread Width – 4 Wide = 1 Spread
Spread Width – 2 Wide = 3 Spreads Spread Width – 5 Wide = 1 Spread
Spread Width – 3 Wide = 2 Spreads

Last Week’s Scoreboard: Strategies

   21st Century Covered Calls        Low Cost Put-Call Hedges 

S&P: 11/06/17 2591.10 S&P: 01/26/18 2872.87
S&P: 11/23/18 2658.69 S&P: 11/23/18 2658.69
S&P Points Gain/Loss: 67.59 S&P Points Gain/Loss: -214.18
S&P % Gain/Loss: 2.6% S&P % Gain/Loss: -7.5%
Risk Capital: $100,000 Risk Capital: $100,000
Covered Call Profit/Loss: $10,176 Put-Call Hedge Profit/Loss: $1,234
Covered Call % Return: 10.2% Put-Call Hedge % Return: 1.2%
# Of Weeks-Open Positions: 44 # Of Weeks-Open Positions: 34
Covered Call To S&P Ratio: 1.8 To 1 Hedge To S&P Ratio: 5.0 :1
Win % – Adjusted Prices: 59.5% Win % – Adjusted Prices: 50.0%
Annualized Return: 12.0% Annualized Return: 1.9%
*Transaction Costs & Dividends Not Included *Transaction Costs & Dividends Not Included