進入2021最後一季,大跌的情况比上個月好左,所以期權的回報比上兩個月好好多,叫做追返上兩個月的數(期權目標$ 18000/月)。
這個月做左幾個平倉決定:
1)9988 Oct@150, 之前八月轉倉的貨,$1.96平倉;反手開返 Oct@137.5。
2)823 Dec@67.5, 之前九月轉倉的貨,$1.75平倉 ,叫做食咗胡先。
3)做左12(Oct@ $33),941 (Oct@ $49) 和883 (Oct@ $9.5) 的Covered call, 好彩全部唔使交貨。
4)平倉 GEO 04/01/23,佢係2020年中買,每年可以收~$7k。但佢嘅評級之前被降低,安全為上(因仲有條GEO 10/15/24),先平倉食左胡先,先前收左一段時間利息,又袋埋$12k差價 , 當先收咗來年的利息,減埋少少槓桿。
今個月portfolio 又從12%上升返去21%,睇果張TWR performance 圖,好似過山車今,大上大落,心血少d都頂唔順🤮。又係果句,只希望穩穩陣陣keep 到下去就算啦。
還有兩個月2021就完結,股息和利息應該收得七七八八,睇吓portfolio 和期權可唔可以keep 到目標啦。
Stock (in HKD$)
BND $217
VGIT $793
TLT $108
AGNC $1400
TSM $47
883 $3000
405 $1140
Sub-total (Stock) = $6,705
Bond (in HKD$)
GEO 04/01/23 $2393
GEO 10/15/24 $3655
CXW $4617
NAVI $194
Sub-total (Bond) = $8759
Option (in HKD$)
Sept $21,280
Oct $21,820
Nov $-16,915
Dec $19,990
Jan $26,880
Feb $28,820
Mar $23,200
Apr $25,378
May $18,995
Jun $18,060
Jul $21,258
Aug $-15,735
Sept $-8,916
Oct $57,760
Stock | Infomation | SP/SC | Open Price | Close Price | Profit/Loss | % Profit / Loss |
9988 | Oct @150 | Sp | 10.8 | 1.96 | 22100 | 82% |
1113 | Oct @45 | SP | 0.42 | 0 | 2100 | 100% |
823 | Dec @ 67.5 | SP | 5.04 | 1.75 | 13160 | 65% |
883 | Oct @ 8.25 | SP | 0.17 | 0 | 3400 | 100% |
388 | Oct @ 440 | SP | 6.13 | 0 | 3065 | 100% |
939 | Oct @ 5.25 | SP | 0.059 | 0 | 2950 | 100% |
883 | Oct @ 9.5 | SC | 0.21 | 0 | 2100 | 100% |
941 | Oct @ 49 | SC | 0.35 | 0 | 1225 | 100% |
12 | Oct @ 33 | SC | 0.25 | 0 | 2500 | 100% |
9988 | Oct @137.5 | Sp | 1.05 | 0 | 2100 | 100% |
1299 | Oct @ 82.5 | SP | 1.02 | 0 | 3060 | 100% |
Oct Total (Interest + Dividends + Options) = HKD$ 72,753 (已扣除利息支出)