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Pfizer Inc. Message Board

  • fizrwinnr11 fizrwinnr11 Sep 15, 2013 10:30 PM Flag

    Updating the 295K call spread portfolio

    05/14 - initiation of the 295K portfolio with the S & P at 1,634

    05/30 - 300,730 (S & P 1,654)
    06/24 - 255,050 (S & P 1,573), low valuation from inception
    09/06 - 326,940 (S & P 1,655)
    09/09 - 332,745 (S & P 1,672), high valuation from inception
    09/13 - 331,925 (S & P 1,688)

    Up 12.5%. Portfolio gains to date
    Up 03.3%. S & P 500

    Current positions:

    1) long 100 GG Jan. 18's; short Jan. 23's (stock at $26.44)
    2) long 100 EWY Jan. 45's; short Jan. 50's (stock at $61.45)
    3) long 230 INTC Jan. 20's, short Jan. 23's (stock at $23.44)
    4) long 120 F 10's, short 15's for Jan. 2015 (stock at $17.35)

    Closed-out positions:

    1) $4,000 profit in two months on a KORS Jan. 40/45 spread on an investment of $42,530
    2) $5,715 profit in 2.2 months on an AIG Jan. 33/38 spread on an investment of $40,660
    3) 25,225 profit in four months on a BIDU Jan. 70/80 spread on an investment of $72,050

 
PFE
34.82+0.05(+0.14%)Aug 26 4:00 PMEDT