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 […]

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 […]

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 […]
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