Last Week’s Results:  Traders Plays

Risk Capital: $20,000
Week Ending: 10/16/20
$ Total Profit/Loss For Week: $191
% Total Profit/Loss For Week: 1.0%
% Winning Trades For Week: 60.0%
Performance Since: 01/04/19
S&P 500 % Gain/Loss: 40.1%
Optionomics $ Gain/Loss: $6,841
Optionomics % Gain/Loss: 34.2%
Number Of Weeks: 94
Number Of Trades: 415
Average # Trades Per Week: 4
% Of Winning Trades: 58.3%
Largest $ Drawdown: $7,707
Largest % Drawdown: ($20,000) 38.5%
Bullish Trades Bearish Trades
Bullish Blow Off Bottoms Bearish Blow Off Tops #
Stock Profit Loss Stock Profit Loss  Trades
DIS * $210 148
Basic Strategy: Bull Spreads Basic Strategy: Bear Spreads #
Stock Profit Loss Stock Profit Loss Trades
IBM -$50 GLD * $38 172
MAR -$58
Bullish One-Day Wonder Bearish One-Day Wonder #
Stock Profit Loss Stock Profit Loss Trades
TLT $51 84
Bullish Earnings Trades Bearish Earnings Trades #
Stock Profit Loss Stock Profit Loss Trades
12
Bullish SPY Power Plays Bearish SPY Power Plays #
Stock Profit Loss Stock Profit Loss Trades
1
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: 10/16/20 3483.81 S&P: 10/16/20 3483.81
S&P – Points Gain/Loss: 892.71 S&P Points – Gain/Loss: 610.94
S&P – % Gain/Loss: 34.5% S&P % – Gain/Loss: 21.3%
Risk Capital: $100,000 Risk Capital: $100,000
Covered Call – Profit/Loss: $30,624 Put-Call Hedge – Profit/Loss: $30,725
Covered Call – % Return: 30.6% Put-Call Hedge – % P/L: 30.7%
Last Weeks – % G/L: -0.2% Last Week’s  % G/L: 2.1%
Win % (Adjusted Prices): 59.0% Win %  – (Adjusted Prices): 53.8%
# Of Open Positions: 2 # Of Open Positions (Max=12): 3
% Of Capital Invested: 20.0% % Of Capital Invested: 30%
# Of Transactions: 117 # Of Transactions 80
Avg. Profit –  Win Trades: 6.9% Avg. Gain – Win Trades: 9.4%
Avg: Loss – Losing Trades: -4.2% Avg. Loss – Losing Trades: -2.0%
Stock Reason % P/L Stock Reason % P/L
None CAT Time 24.5%
WMT Time 6.5%
*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: 10/16/20 3483.81
S&P – Points Gain/Loss: 576.40
S&P – % Gain/Loss: 19.8%
Risk Capital: $50,000
Dollar Amount Per Trade (10% Of Risk Capital): $5,000
Billionaire Trade – Dollar Profit/Loss: $205,647
Billionaire Trade – Average Dollar P/L Per Trade: $5,876
Billioaire Trade – Percentage P/L: 411%
Last Weeks – % G/L: -13.2%
# Of Transactions: 35
Win Percentage: 65.7%
% Of Capital Invested: 40%
# Of Open Positions (Max=10): 4
Last Week’s Closed Positions
Stock Reason % P/L
None
*Transaction Fees If Applicable And Dividends Not Included In Results.

 

 

 

 

 

The information contained herein has been carefully compiled from sources believed to be reliable, but its accuracy is not guaranteed.  Past performance is not necessarily indicative of future results. Traders should read The Option Disclosure Statement before trading options. No representation is made that any account is likely to achieve profits or losses similar to those shown. Due to the possibility of human and/or mechanical error by The Optionomics Group LLC, Inc., its sources or others does not guarantee the accuracy, completion or availability of any information contained herein and is not responsible for any errors or omissions or for results obtained from the use of such information.