Last Week’s Results: Traders Plays
12/21/19 | ||||||||
Risk Capital: | $20,000 | |||||||
YTD S&P 500 % Gain/Loss: | 29.6% | |||||||
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Performance For Week End: | 12/21/19 | |||||||
$ Total Profit/Loss For Week: | -$234 | |||||||
% Total Profit/Loss For Week: | -1.2% | |||||||
Win % For Week: | 50.0% | |||||||
Performance Since Week End: | 01/04/19 | |||||||
YTD Optionomics $ Gain/Loss: | $10,556 | |||||||
YTD Optionomics % Gain/Loss: | 52.8% | |||||||
YTD Annualized % Gain/Loss: | 53.8% | |||||||
Win % YTD: | 64.0% | |||||||
YTD Number Of Weeks: | 51 | |||||||
YTD Number Of Trades: | 230 | |||||||
Average # Trades Per Week: | 5 | |||||||
Largest Drawdown: | $3,715 | |||||||
Largest % Drawdown: ($20,000) | 18.6% | |||||||
Bullish Trades | Bearish Trades | |||||||
Bullish Blow Off Bottoms | Bearish Blow Off Tops | YTD # | ||||||
Stock | Profit | Loss | Stock | Profit | Loss | Trades | ||
UNH | -$69 | 109 | ||||||
MAR | -$270 | |||||||
Bullish One-Day Wonder | Bearish One-Day Wonder | YTD # | ||||||
Stock | Profit | Loss | Stock | Profit | Loss | Trades | ||
43 | ||||||||
Bullish Put Credit Spreads | Bearish Call Credit Spreads | YTD # | ||||||
Stock | Profit | Loss | Stock | Profit | Loss | Trades | ||
WMT | $58 | 72 | ||||||
CVX | $47 | |||||||
Bullish Earnings Trades | Bearish Earnings Trades | YTD # | ||||||
Stock | Profit | Loss | Stock | Profit | Loss | Trades | ||
12 | ||||||||
Bullish SPY Power Plays | Bearish SPY Power Plays | YTD # | ||||||
Stock | Profit | Loss | Stock | Profit | Loss | Trades | ||
2 | ||||||||
Transaction Fees & Dividends If Applicable Not Included In Results. | ||||||||
* After Symbol Denotes Target Profit Instead Of Friday’s Closing Price. |
Last Week’s Results: Investors Plays
21st Century Covered Calls Low Cost Put-Call Hedges
Performance Since Week Ending 11/06/17 | Performance Since Week Ending 1/26/18 | |||||||
S&P: | 11/06/17 | 2591.10 | S&P: | 01/26/18 | 2872.87 | |||
S&P: | 12/20/19 | 3221.22 | S&P: | 12/20/19 | 3221.22 | |||
S&P Points Gain/Loss: | 630.12 | S&P Points Gain/Loss: | 348.35 | |||||
S&P % Gain/Loss: | 24.3% | S&P % Gain/Loss: | 12.1% | |||||
0.00 | ||||||||
Risk Capital: | $100,000 | Risk Capital: | $100,000 | |||||
Covered Call Profit/Loss: | $28,946 | Put-Call Hedge Profit/Loss: | $9,866 | |||||
Covered Call % Return: | 28.9% | Put-Call Hedge % P/L: | 9.9% | |||||
Last Weeks C.C. % G/L: | 0.6% | Last Weeks Hedge % G/L: | 1.5% | |||||
# Of Open Positions (Max=10): | 1 | # Of Open Positions (Max=12): | 3 | |||||
Win % – Adjusted Prices: | 62% | Win % (Adjusted Prices): | 45% | |||||
# Of Transactions: | 105 | # Of Transactions | 56 | |||||
Average Win %: | 6.6% | Average Win %: | 8.7% | |||||
Average Loss %: | -4.3% | Average Loss %: | -2.3% | |||||
Last Week’s Closed Positions | Last Week’s Closed Positions | |||||||
Stock | Reason | % P/L | Stock | Reason | % P/L | |||
None | CVX | Downgrade | -1.1% | |||||
*Transaction Fees If Applicable, Dividends And Interest Earned Not Included In The Results. |
The Billionaire – Risk Reversal Strategy
Performance Since Week Ending 04/12/19 | |||||
S&P 500: | 04/12/19 | 2907.41 | |||
S&P 500: | 12/20/19 | 3221.22 | |||
S&P Points Gain/Loss: | 313.81 | ||||
S&P % Gain/Loss: | 10.8% | ||||
Risk Capital: | $50,000 | ||||
Dollar Amount/Trade (10% Risk Capital): | $5,000 | ||||
Stock Trade Dollar Profit/Loss: | $3,747 | ||||
Stock Trade Avg. Dollar P/L Per Trade: | $197 | ||||
Stock Trade % P/L ($50,000 RC): | 7.5% | ||||
Billionaire Trade Dollar Profit/Loss: | $70,049 | ||||
Billionaire Trade Average $ P/L -Trade: | $3,687 | ||||
Billioaire % P/L ($50,000 Risk Capital): | 140.1% | ||||
Billionaire Trade Adv. Over Stock: | 22 | ||||
Last Weeks Billionaire G/L: | 48.6% | ||||
# Of Transactions: | 19 | ||||
# Of Open Positions (Max=10): | 7 | ||||
Last Week’s Closed Positions | |||||
Stock | Reason | % P/L | |||
None | |||||
*Transaction Fees If Applicable And Dividends Not Included In Results. |