sell -1 June 18, 2021 $105 put at $1.18
- prob ITM: 23.77%
- SBUX trading at $112.32
- margin: $10,500
- 51 DTE
SBUX closed at $109.70
my short put expired worthless
NET PROFIT: $117.33 (51 days)
Return on capital: 8% (annualized)
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Tue. 6/8/2021 (8 DTE)
sell -2 June 16, 2021 4090 puts at $5.05 (prob ITM 10.30%)
buy +2 June 16, 2021 4060 puts at $3.80 (prob ITM 7.59%)
Mon. 6/14/2021 <--- 2 DTE
buy back entire spread for $0.20 (debit)
I wanted to close the trade prior to the FOMC press conference on 6/16/2021
NET PROFIT: $195.42 (6 days)
Return on capital: 198% (annualized)
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Thu. 6/3/2021 (6 DTE)
sell -2 June 9, 2021 4090 puts at $4.30 (prob ITM 10.28%)
buy +2 June 9, 2021 4065 puts at $3.00 (prob ITM 7.21%)
Fri. 6/4/2021 (5 DTE)
SPX rose over 37 points today, so I was able to buy back my entire put spread for $0.20 (debit)
NET PROFIT: $210.40 (1 day!)
Return on capital: 1536% (annualized)
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NET PROFIT: $100.34
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Wednesday, 4/14/2021
sell -1 April 16, 2021 4030 put at $2.12 (prob ITM 7.08%)
buy +1 April 16, 2021 3980 put at $0.92 (prob ITM 2.95%)
net credit: $1.20 x 1 x 100 = $120
margin: $5000
SPX at 4124
Friday, 4/16/2021 (EXPIRATION)
Strong up day, let all options expire "worthless"
NET PROFIT: $117.61 (2 days)
Return on capital: 429% (annualized)
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Monday, 3/29/2021
buy +1 March 31, 2021 4065 call at $0.75 (prob ITM 3.64%)
sell -1 March 31, 2021 4035 call at $2.55 (prob ITM 11%)
net credit: $1.80 x 1 x 100 = $180
margin: $2868
2 DTE
SPX between 3968 and 3974
Wednesday, 3/31/2021 (EXPIRATION)
buy back short call (4035 strike) at $0.05 to remove the risk of assignment
let long call expire
SPX closed at 3972.89
NET PROFIT: $172.11 (in 2 days)
Return on capital: 1095% (annualized)
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Monday, 3/8/2021
sell -1 March 10, 2021 3665 put at $2.29 (prob ITM 5.31%)
buy +1 March 10, 2021 3620 put at $1.09 (prob ITM 2.63%)
net credit: $1.20 x 1 x 100 = $120
margin: $4371
Tuesday, 3/9/2021 (10:17 am, PT)
buy back 3665 short put at $0.20
Tuesday, 3/9/2021 (10:25 am, PT) <--- 8 minutes later
sell another put with strike price of 3790 (prob ITM 4.78%)
collected second credit of $1.20
Wed. 3/10/2021 (Expiration Day)
SPX = 3898.81
let all put options expire "worthless"
NET PROFIT: $215.13 (2 days)
ROC: 232% (annualized)
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Friday, 3/12/2021 (9:19 am, PT)
buy +1 March 12, 2021 3980 call at $0.12 (prob ITM 1.55%)
sell -1 March 12, 2021 3950 call at $1.42 (prob ITM 15.42%)
net credit: $1.30 x 1 x 100 = $130 (max profit)
margin: $2867
Friday, 3/12/2021 (12:54 pm, PT)
buy back 3950 short call at $0.05
NET PROFIT: $122.11 (in 4 hours)
ROC: 1554% (annualized)
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Friday, 2/26/2021 (11:45 am, PT) <--- Expiration Day
buy +1 Feb 26, 2021 3895 call at $0.17 (prob ITM 1.78%)
sell -1 Feb 26, 2021 3855 call at $2.37 (prob ITM 17.61%)
net credit: $2.20 x 1 x 100 = $220 (max profit)
margin: $3767
Friday, 2/26/2021 (12:54 pm, PT) <--- 70 minutes later
buy back 3855 call at $0.10
let long call expire "worthless"
Note: SPX closed at 3811.15 at 1 pm, PT (settlement)
NET PROFIT: $206.46 (in 70 minutes)
ROC: 5.48% (1 hour) = 2000% (annualized)
Monday, 4/12/2021
sell -1 April 14, 2021 4055 put at $1.95 (prob ITM 8.55%)
buy +1 April 14, 2021 4010 put at $0.75 (prob ITM 3%)
net credit: $1.20 x 1 x 100 = $120
margin: $4500
2 DTE
Wednesday, 4/14/2021 (EXPIRATION)
buy back short put (4055 strike) at $0.05 to remove the risk of assignment
NET PROFIT: $112.11 (2 days)
Return on capital: 454% (annualized)
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Tuesday, 3/2/2021
sell -1 March 3, 2021 3805 put at $2.55 (prob ITM 8.63%)
buy +1 March 3, 2021 3770 put at $1.20 (prob ITM 4.18%)
net credit: $1.35 x 1 x 100 = $135
margin: $3372
SPX at 3890.37
Wednesday, 3/3/2021 (Expiration)
buy back 3805 short put at $0.05
let long put expire "worthless"
NET PROFIT: $127.03 (1 day)
ROC: 3.77% (1 day) = 1375% (annualized)
For the full analysis, join PATREON and watch the video!
Monday, 3/8/2021
sell -1 March 10, 2021 3665 put at $2.29 (5.31% prob ITM)
buy +1 March 10, 2021 3620 put at $1.09 (2.63% prob ITM)
net credit: $1.20
margin: $4371
Tuesday, 3/9/2021 (SPX up 80)
buy back short put (3665 strike) at $0.20
Tuesday, 3/9/2021 (8 minutes later)
sell -1 March 10, 2021 3790 put at $1.20 (4.78% prob ITM)
new margin: $16,887
Wednesday, 3/10/2021 (Expiration)
SPX closed at 3898.81
Let entire put spread expire "worthless"
NET PROFIT: $215.13 (in 2 days)
Return on capital: 232% (annualized)
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Wednesday, 3/31/2021
sell -1 April 1, 2021 3940 put at $2.50 (prob ITM 12.22%)
buy +1 April 1, 2021 3910 put at $0.95 (prob ITM 5%)
net credit: $1.55 x 1 x 100 = $155
margin: $2850
1 DTE
SPX = 3987.44
Thursday, 4/1/2021 (EXPIRATION)
buy back short put (3940 strike) at $0.05 to remove the risk of assignment
let long put expire "worthless"
SPX closed at 4019.87
NET PROFIT: $147.11 (1 day)
Return on capital: 1884% (annualized)
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Fri. 3/26/2021
sell -1 March 26, 2021 3915 put at $1.52 (prob ITM 15%)
buy +1 March 26, 2021 3850 put at $0.12 (prob ITM 1%)
net credit: $1.40 x 1 x 100 = $140
margin: $6494
SPX at 3934
Fri. 3/26/2021 (EXPIRATION)
buy back short put at $0.05 to remove the risk of assignment
let the long put expire
NET PROFIT: $132.11 (2 hours)
Return on capital: 742% (annualized)
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Fri. 3/5/2021
buy +1 March 8, 2021 3975 call at $0.07 (prob ITM 0.30%)
sell -1 March 8, 2021 3915 call at $1.42 (prob ITM 6%)
net credit: $1.35 x 1 x 100 = $135
margin: $5861
2 DTE
SPX at 3828.60
Mon. 3/8/2021 (EXPIRATION)
buy back short call at $0.10 to remove the risk of assignment
NET PROFIT: $121.46 (2 days)
Return on capital: 378% (annualized)
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