Search results

  1. G

    Global Options Trades

    In September, I began buying Spreads, (in addition to simple directional options) with the short side at my target price for the security, and a spread of usually a couple of intervals based on volatility of the security. Iteration, backtesting, paper-trading, reiterating etc has led me to...
  2. G

    Global Options Trades

    Revisiting my benchmark, rolling monthly P&L (for a contract size of 1 lot in each security) with no compounding is USD6919.
  3. G

    Global Options Trades

    Closed Short position in FTSE100 by selling Puts at a loss today, and opened a long position by buying Calls and Call Spreads. Security / Ticker: FTSE Open Trade Date: 31 October 2019 Trade: Buy to Open Expiry Date: 20 December 2019 At the Money / Out of the Money: AtM Exercise Price: 7,250.0...
  4. G

    Global Options Trades

    Closed Short position in DAX30 by selling Puts at a loss on Thursday, and opened a long position by buying Calls and Call Spreads. Security / Ticker: DAX Open Trade Date: 31 October 2019 Trade: Sell to Close Expiry Date: 20 December 2019 At the Money / Out of the Money: AtM Exercise Price...
  5. G

    Which website allows you to download historical stock data, other than Yahoo Finance?

    FWIW, I've been using www.eodhistoricaldata.com for a while for individual stocks, indices, fx and oil. The API to drop the data into Excel seems to work well and pricing is reasonable.
  6. G

    I need weekly Cash Settled options on AMZN, or other equities, or anything :-(

    RUT and NDX for US DAX for Europe N225 for Japan All cash-settled. There are others.
  7. G

    Global Options Trades

    Closed short position in AUD at a loss by selling Puts and Put Spreads, and initiated a long position in AUD by buying Calls and Call Spreads. The signal to go long is pretty weak so I am not as confident as usual in this trade. Security / Ticker: AUD Open Trade Date: 24 October 2019 Trade...
  8. G

    Global Options Trades

    Decided to buy a Straddle position on FTSE100, whilst volatility is relatively low. Security / Ticker: FTSE Open Trade Date: 18 November 2019 Trade: Buy to Open Expiry Date: 17 January 2020 At the Money / Out of the Money: AtM Exercise Price: 7,300 Direction: Straddle...
  9. G

    Global Options Trades

    Further to post #106, re-entered short position in S&P500. Security / Ticker: SPX Open Trade Date: 11 November 2019 Trade: Buy to Open Expiry Date: 20 December 2019 At the Money / Out of the Money: AtM Exercise Price: 3,080 Direction: Put Opening Price: 39.0 Security / Ticker: SPX Open...
  10. G

    Global Options Trades

    Bought a straddle on Treasury Bonds as volatility is relatively low. Security / Ticker: ZB Open Trade Date: 05 November 2019 Trade: Buy to Open Expiry Date: 27 December 2019 At the Money / Out of the Money: AtM Exercise Price: 158.00 Direction: Straddle Opening Price: 3.69
  11. G

    Global Options Trades

    Misjudged entry to short S&P500 on Friday, so I've closed the long put positions and will await a better entry. Security / Ticker: SPX Open Trade Date: 31 October 2019 Trade: Buy to Open Expiry Date: 20 December 2019 At the Money / Out of the Money: AtM Exercise Price: 3,030 Direction: Put...
  12. G

    Macro trading

    Interesting journal @HolyMacro The implication of this is that there is an expectation that your strategy will underperform risk-adjusted return from simply buying S&P500, and holding it. If so, why would you bother trading this? Also, I would be nervous of arbitrary timing such as open on...
  13. G

    Global Options Trades

    Trading performance has been good. Rolling monthly P&L (for a contract size of 1 lot in each security) with no compounding is USD16163.
  14. G

    Global Options Trades

    Closed long position in S&P 500 at a profit by selling Calls and Call Spreads. Opened short position by buying Puts and Put Spreads. Security / Ticker: SPX Open Trade Date: 04 October 2019 Trade: Buy to Open Expiry Date: 15 November 2019 At the Money / Out of the Money: AtM Exercise Price...
  15. G

    Global Options Trades

    The pub beckoned! Back to updating trades yesterday. Closed long position in FTSE at a loss by selling Calls and opened a short position by buying Puts and Put spreads. Security / Ticker: FTSE Open Trade Date: 11 October 2019 Trade: Buy to Open Expiry Date: 15 November 2019 At the Money / Out...
  16. G

    Global Options Trades

    Closed long position in DAX 30 at a good profit by selling Calls and Call Spreads. Opened short position by buying Puts and Put Spreads. Security / Ticker: DAX Open Trade Date: 10 October 2019 Trade: Buy to Open Expiry Date: 20 December 2019 At the Money / Out of the Money: AtM Exercise Price...
  17. G

    Global Options Trades

    Closed long position in Nikkei 225 at a good profit by selling Calls and Call Spreads. Opened short position by buying Puts and Put Spreads. Security / Ticker: N225 Open Trade Date: 04 October 2019 Trade: Buy to Open Expiry Date: 07 November 2019 At the Money / Out of the Money: AtM Exercise...
  18. G

    Global Options Trades

    Closed short position in Treasury Bonds by selling Puts and Put spreads at a profit and opened a long position by buying Calls and Call spreads. Security / Ticker: ZB Open Trade Date: 07 October 2019 Trade: Buy to Open Expiry Date: 22 November 2019 At the Money / Out of the Money: AtM Exercise...
  19. G

    Global Options Trades

    Closed long position in oil at a profit by selling puts. Security / Ticker: CL Open Trade Date: 04 October 2019 Trade: Buy to Open Expiry Date: 15 November 2019 At the Money / Out of the Money: AtM Exercise Price: 53.00 Direction: Call Opening Price: 2.18 Close Trade Date: 28 October 2019...
  20. G

    Global Options Trades

    Have closed / will close long positions in oil, Nikkei 225, DAX 30, FTSE 100, and S&P500, replacing with short positions. Also closed short position in Treasury Bonds, and bought long position. I'll document the trades in here later.
Back
Top