又到十二月,今個月可以講是大敗。因為前兩個月做左兩個不正確的covered call,大市大升,導致今個月要受靶😩。無計,失敗就要承認。
十二月YTD portfolio 跌21.6%,和上月差唔多。不過都是差過VTI😩。
期權操作真係唔容易,勢色唔對就要走人,盲目眷戀要付出代價😭。今次叫做執返身彩。以後要想想怎樣可以操作下去。
Stock (in HKD$)
BND $1,101
VGIT $516
AGNC $1,412
ME8U $1,816
M44U $3,627
VXUS $2,940
VTI $3,082
QQQ $767
3067 $239
823 $14,773
Sub-total (Stock) = $30,273
Bond (in HKD$)
NAVI 06/5/26 $196
Sub-total (Bond) = $196
Option (in HKD$)
Jan $19,250
Feb $26,735
Mar $22,135
Apr $19,200
May $24,260
Jun $17,665
Jul $33,345
Aug $9,270
Sept $5,495
Oct $3,190
Nov $27,420
Dec $-34,300
Dec Total (Interest + Dividends + Options) = HKD$-6,802 (已扣除利息支出)