ItsMyOption
1 mes hace
Zilla, I am sending just part of years of my option notes: When you STO time decay works for you but when you BTO time decay works against you with a high % of losing. so I only STO a PUT normally 45 days out but look at Dividend record date to help with strike date, and wait for RSI below 30 oversold for best $$ I then have STO- covered calls at strike price above over bought or resistant area. Good luck with investing!
OPTION NOTES:
This is years of notes I collected and put in writing to help understand Option trading. After many years of losses, I realized it is always best to STO-Sell to open first because of time value which you do not get on a BTO-Buy to open first.
Option can be used to leverage one’s investments in stocks and understanding a better buy or sell of securities while generating cash flow.
Option basics: You can
BUY TO OPEN (BTO) – you pay to open and is a Debit.
SELL TO OPEN (STO) (My favorite money maker both Covered Calls and naked PUTS) – you receive credit into your act. This is the money maker as you ether (STO a PUT) – my favorite or a Covered Call on stock you own. You receive a Credit into your account and use the Time Decay to ether buy to close it back at expiration date or before.
Some Technical chart knowledge helps as you need to see Support and resistance areas. I STO a PUT when pps is close to low Support zone and STO a Covered Call when pps is high up close to Resistance area.
SELL TO CLOSE (STC) – you sell ( receive credit) to close an open position
BUY TO CLOSE (BTC) – you buy (debit) to close open position.
IN ADDITION, YOU CAN LET YOUR OPEN OPTION EXPIRE ON THE EXPERATION DATE IF YOU ARE IN THE MONEY AT THE TIME OR YOU WISH TO HAVE YOUR OPTION ASSIGNED OR STOCK CALLED OR SOLD FROM YOUR POSITION.
Option Expiration date: Is always the 3rd Friday of each month, which could be next month or years away – the more time to expiration date would demand the most premium. Unless your stock does weeklies which I love as you can play them every week - weekly expiration dates which make stock more volatile and better for options players.
VERY IMPORTANT: To be a better stock trader You must understand the time value of option premium as option traders receive or pay the most if you have more time before expiration date, which could be many months or years out. You must also understand the big players like Hedge funds make more money with options and they manipulate the pps of stock to maximize their premium. Even if you are not an Option player you must understand why the pps of you stock moves up and down depending on the time value of the option expiration date.
WHY WOULD YOU WANT TO?
BUY to open CALL OPTION – you feel the underlying instrument (in this case stocks) will move above the strike price at any time up to expiration.
STO - SELL A CALL OPTION or called (covered Call) you first own the stock, and you would want the pps to close below strike price on expiration date. I do this often to generate cash flow and watch the option premium and time as expiration date gets closer to buy to close my position or if I feel comfortable the pps will close below I let it expire and collect 100% of my premium.
- To SELL TO OPEN PUT OPTION – My favorite - you believe the pps of the stock is currently to low and feel the pps of stock will move up rapidly or close above the Strike price on expiration date. You collect the premium at time of sell but the negative with selling put option is you must have the cash reserves in your account to buy stock if it is assigned. Note: If you want to buy a stock you could first write a sell to open put, which is called a naked PUT and use the collected premium you received to lower your cost IF you get the stock assigned. To make the most premium you sell to open put when the pps moves down rapidly along with the time value. Look to enter your STO PUT when the pps is at bottom of Bollinger band at support area. I like letting the big hedge funds manipulate the pps monthly to maximize my own portfolio of stocks. You must have cash or margin reserves in your account if you get assigned or forced to buy at your strike price. I ONLY open a STO PUT if I feel the pps will be higher than strike price at expiration or I want to buy the stock and us a PUT option to buy at lower pps.
-BUY TO CLOSE PUT OPTION – if you had a sell to open put option you could buy it back to close your position.
Option buyers and sellers want stocks with high implied volatility.
High and Low Volatility trading:
High Volatility = you want to be Option Seller
Low Volatility = you can be Option Buyer, but Option Sellers have highest % of profit because of Time decay works against buyers
Option trader daily check list: Also used to be better stock trader.
- Check Futures will give market direction = Futures (finviz.com)
- Check major news = CNN - Breaking News, Latest News and Videos
- Possible Portfolio Impact Look at what is moving = FINVIZ.com - Stock Screener
- Trade Hierarchy - closing positions, any adjustments, new trade entries,
- Walk Away make time to cut the cord – be patient and let the MM move the stock to the price you want and don’t chase the pps you want.
- EOD Review – what changed, what is moving, any adjustments, new trades or exits.
Some Financial / Analysts web sites that can help find good stocks for Option trading.
- https://finviz.com/quote.ashx?t=IEP&p=d
- https://maximum-pain.com/options/iep
- https://www.macroaxis.com/stock/IEP/Icahn-Enterprises-LP
- https://stockcharts.com/h-sc/ui?s=zyme
- https://www.tipranks.com/stocks/agnc/dividends
- https://stockanalysis.com/stocks/iep/statistics/
https://optionalpha.com/wp-content/uploads/2016/06/Ultimate-Strategy-Guide-Option-Alpha.pdf
Also, see the script in thinkorswim Advanced Charting Setup & Technical Indicators just after 7:00 minutes:
This series of videos will help set up and use TOS:
Get to understand Max Pain (Options) https://maximum-pain.com/
It is at a strike price (usually a strike price with most open interest) that the MM will attempt to manipulate the pps at expiration date to cause most pain (Loss) for option trader and most profit for those MM depending on which side of the strike price they close it at expiration.
More info = Max Pain (Options) - Overview, How It Works, Calculation (corporatefinanceinstitute.com)
ItsMyOption
8 meses hace
earning improving and continues to pay $1.00 Div. should continue to go up, IMO
Icahn Enterprises L.P. (IEP) posted a net loss of $38 million, or a loss of $0.09 per depositary unit for the three months ended March 31, 2024 compared to a net loss of $270 million, or a loss of $0.75 per depositary unit, prior year.
For the three months ended March 31, 2024, revenues were $2.5 billion compared to $2.7 billion, a year ago.
On May 6, 2024, the Board of Directors of the general partner of Icahn Enterprises declared a quarterly distribution in the amount of $1.00 per depositary unit, which will be paid on or about June 25, 2024, to depositary unitholders of record at the close of business on May 20, 2024.
ItsMyOption
9 meses hace
Top Dividend stocks to buy now!
in this article = https://www.insidermonkey.com/blog/10-dividend-stocks-with-over-9-yield-according-to-analysts-1289046/
8. Icahn Enterprises LP Common Stock (NASDAQ:IEP)
Average Analyst Price Estimate: $25
Upside Potential: 44%
Billionaire Carl Icahn-led conglomerate Icahn Enterprises LP Common Stock (NASDAQ:IEP) is one of the dividend stocks with 9% yield that has high upside potential based on analyst price estimates. Wall Street analysts expect the stock to reach $25, while it was trading at around $17 as of April 14. The company talked about dividends and other important business matters in an earnings call in February:
“CVI declared a fourth quarter cash dividend of $0.50 per share. And now to our Automotive segment. As we previously discussed, the segment has undergone significant change due to the deconsolidation of Auto Plus in January of 2023. The segment results throughout 2023 are made up primarily of automotive service operations as compared to 2022, which also included the aftermarket parts operations of Auto Plus.
Q4 2023 automotive service revenues were down $15 million compared to Q4 2022, driven by store closures and lower car count. Adjusted EBITDA was $28 million for the quarter, a $71 million improvement as compared to Q4 2022, mainly due to the exit of the Auto Plus aftermarket parts business. Now, turning to our Real Estate segment. Q4 2023 net sales and other revenues increased by $8 million and adjusted EBITDA increased by $3 million compared to the prior year quarter, primarily driven by the sale of single family homes. Now on to our Other Operating segments. Food packaging’s adjusted EBITDA was flat for Q4 2023 as compared to the prior year quarter. The quarter-over-quarter comparison was positively impacted by pricing initiatives and lower distribution cost, which was offset by lower sales volume.”
bar1080
11 meses hace
"Icahn Enterprises > of Drop in Asset Value, Names Insider Teno CEO"
"(Reuters) -Icahn Enterprises on Wednesday warned of a sequential decline in its indicative net asset value in the fourth quarter, sending shares of the investment firm, which named insider Andrew Teno as its CEO, down 11%.
The drop in a key metric that gauges the value of a fund's assets adds more pressure on IEP's stock, which saw a selloff last year after short seller Hindenburg Research bet against the firm.
Hindenburg in May accused billionaire Carl Icahn-owned IEP of overvaluing its holdings and relying on a "Ponzi-like" structure to pay dividends. The company's units were overvalued by more than 75%, the short seller had alleged."
https://money.usnews.com/investing/news/articles/2024-02-21/icahn-enterprises-names-insider-andrew-teno-as-ceo