Mid-Contract Unwind: The major concern for covered call writers is the stock price dropping in value. The option premium collected is money in the bank. Most of our exit strategies are designed to mitigate these losses and turn losses into gains. However, as Blue Collar Investors we should also be prepared to act if the opposite […]

USING STOCK OPTIONS TO NEUTRALIZE NEGATIVE CASH FLOW PROPERTIES/ PART III- Evaluating our Investment
This is the third and final article in this trilogy of writings regarding generating income via stock options to erase a negative cash flow situation. In part I, our strategy was developed. Capital preservation was of utmost importance since we needed to maintain our initial investment to continue to generate our monthly returns. Compounding of […]

HOW A BLUE COLLAR INVESTOR MANAGES A VOLITILE MARKET
WOW! It looks like we’re in the midst of another 10% market correction from its recent highs. This can drive the average investor crazy, but not us. First and foremost we must remember our commitment to the system: – GoldenRule #1: We must be willing to accept a certain amount of risk. We understand that […]
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