One of the best approaches to mastering our option-selling trades is to analyze our executed trades and identify and learn from the positives and negatives. This podcast will evaluate a series of trades executed by a BCI member with CLX. Topics discussed in this...
Position management (exit strategies) is the 3rd required skill for successful, elite option-selling. This podcast will show a real-life example with XLU that shows how an initial covered call return was doubled by implementing our exit strategy arsenal. The BCI...
When seeking have a well-diversified quality technology presence in our option-selling portfolios, we can turn to exchange-traded funds. This podcast will compare and evaluate 2 such ETFs, XLK and QQQ. Topics included are top-10 holdings of each security, a comparison...
Rolling our covered call trades out-and-up is a frequently used exit strategy. The calculations are a bit complicated, and this podcast was produced to explain the breakdown of the intrinsic-value and time-value components of our option premiums. The BCI term,...
Should a gap-up in price cause us to avoid a stock because “it’s had its run-up”? What about a double gap-up? A real-life example is used with AMAT to make a case that in many gap-up scenarios, we should consider embracing, rather than rejecting that...