Note below that it shows a .03% LOSS. Not really, this doesn’t account for the CSP Premium.
At the end is a clip from the tracking program—what I keep about every transaction, except for some rows that are empty for this one.
TtP-S Trading Journal: http://1drv.ms/1L08UEP Post questions/observations/discussion at: TtP-S@yahoogroups.com | ||||||||
TtP-S | As of: 10/22/15 13:39 TtP-S Alert Display Format 2 Version 2.1 | |||||||
Moderator Message (if any): Today’s Buys & Sells.
Questions or critiques welcome. Would YOU have paid $8 to close out this CSP early? As of now it saved me money…but maybe not by expiration. |
SPY | DIA | ||||||
Previous Close | 205.62 | 175.02 | ||||||
Current Price | 205.47 | 175.16 | ||||||
Day Low | 204.88 | 174.76 | ||||||
Pete A | % Chg from Prev Close | -0.36% | -0.15% | |||||
NOT a Buy Day | ||||||||
(Based on low of the day) | ||||||||
Ticker | Buy Price | Buy Date | Profit Target | Sell Price | Sell Date | Profit Percent | Annualized RoI % | Current Position |
WMT | 58.50 | 2015-10-19 | 59.82 | 58.50 | 2015-11-17 | -0.03% | 21.99% | Sold |
Symbol | WMT |
No. | 452 |
1 FI PLA 401K R/O | WMT20151019 |
Notes | CSP @ 1.14 Nov 20 15 @ 58.50 Strike |
Calculated Consolidated info | 13481% |
Consolidated Info | 24||2.25%| 93dy|3.4us|Tgt: $59.82 |
Universal Quality Score | 3.4 |
Target (.8 p) Days | 93 |
Profit Target (.8p) | 2.25% |
Extrapolated to 100 day price | 59.92 |
1st Share Buy/Sell | 100 |
1st Buy Avg Entry Price | 58.50 |
Purchase Commission | 1.10 |
Date Purchased | 10/19/2015 |
Div Rec | $ – |
Div Rec "Pay Date" Range | |
Protective Put $ | |
Protective Put Date Range | |
CSP $ Summary | $ 104.11 |
CSP Date Range | 10/19/2015 – 11/17/2015 |
CC $Summary | $ – |
CC Date Range | |
Nbr Shares Sold | 100.00 |
Avg Sales Price | 58.50 |
Sales Commission | 0.79 |
Date Shares Sold | 11/17/2015 |
Final Pos Value (incl Dividends) | $ 5,953.32 |
Final Pos Cost | $ 5,851.10 |
Target Profit % | 2.25% |
Cal Days Held | 29 |
% of Forecasted Days Held | 31.18% |
Target Profit % | 2.25% |
Net % Trade Gain (Incl Div & CC) | 1.75% |
Actual Net $ Profit (Incl Div & CC) | $102.22 |
Net % Position Gain (Incl Div & CC) | 1.75% |
Final Annualized ROI | 22.0% |
Brokerage Fees as % Proit | 1.9% |
NEXT Ex Div Date | Dec 2, 2015 |
$ Profit WithOUT Dividends & CC and CSP | $ (1.89) |
$ Profit FROM Dividends & CC and CSP | $ 104.11 |
$ Total Profit with Dividends & CC & CSP | $ 102.22 |
% Profit Without Dividends & CC &CSP | 0.0% |
% Profit from Dividends & CC & CSP | 100.00% |
% Total Profit (incl Dividends & CC & CSP) | 1.7% |
Symbol | WMT |
PT 2mo Volatility | 1.8% |
PT 6mo Volatility | 2.3% |
PT 12mo Volatility | 3.0% |