Hi folks,
I need your help with an Option related question.
I used to own 400 shares of Sprint (before Softbank) and had written/sold 4 contracts of Jan 2014 $4.50 Call option.
However, due to the Sprint-Softbank deal, my position got sliced up and I'm left with the following:
52 shares of the new Sprint and 2 non-standard contracts of 26 shares each [S 26/100 (US$ 566.1) JAN 14 4.5 CALL].
I do not want to wait until Jan 2014 and would like to get out of the position.
I tried to buy back the Call, but it looks like my broker wants me to pay for 2 standard contracts (of 100 shares each)
instead of 2 non-standard contracts (of 26 shares each).
With bid/ask at 2.85/2.91 and last sale at 2.97, here's what I expected to pay to buy back the 2 non-standard contracts:
52 * 2.97 = $ 154.44
But when I try to place the order, here's what my broker wants me to pay:
200 * 2.97 = $ 594.00
Am I missing something? Please advise.
Thank you.
Regards,
SK.
I need your help with an Option related question.
I used to own 400 shares of Sprint (before Softbank) and had written/sold 4 contracts of Jan 2014 $4.50 Call option.
However, due to the Sprint-Softbank deal, my position got sliced up and I'm left with the following:
52 shares of the new Sprint and 2 non-standard contracts of 26 shares each [S 26/100 (US$ 566.1) JAN 14 4.5 CALL].
I do not want to wait until Jan 2014 and would like to get out of the position.
I tried to buy back the Call, but it looks like my broker wants me to pay for 2 standard contracts (of 100 shares each)
instead of 2 non-standard contracts (of 26 shares each).
With bid/ask at 2.85/2.91 and last sale at 2.97, here's what I expected to pay to buy back the 2 non-standard contracts:
52 * 2.97 = $ 154.44
But when I try to place the order, here's what my broker wants me to pay:
200 * 2.97 = $ 594.00
Am I missing something? Please advise.
Thank you.
Regards,
SK.