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Requirements

Performance 2010

COMPANY

ENTRY DATE

CLOSE DATE

RESULT

% P/L

$ P/L  Per $1k Invested

MasterCard January 230 Call 12/20/2010  12/22/2010  Sell -51% ($510)
Macys January 26 Call  12/17/2010  12/22/2010  Sell -35%  ($350)
Deckers January 85 Put  12/15/2010  12/22/2010 TARGET  +71%  +$710
Broadcom December 47 Call  12/13/2010  12/13/2010 TARGET  +60%  +$600
Visa January 85 Call  12/13/2010  12/15/2010 Sell  -50%  ($500)
Sandisk December 50 Call  12/10/2010  12/13/2010 TARGET  +58%  +$580
Las Vegas Sands December 46 Put  12/09/2010  12/13/2010  TARGET  +59%  +$590
Netflix December 180 Put  12/09/2010  12/09/2010 Sell  -46% ($460)
Goldman Sachs December 165 Put  12/02/2010  12/07/2010 TARGET  +67% +$670
Whole Foods December 49 Call 12/02/2010  12/14/2010 TARGET +76% +$760
UPS December 70 Call  11/29/2010  12/01/2010 TARGET  +64%  +$640
Goldman Sachs December 165 Call  11/23/2010  11/29/2010  Sell -44% ($440)
Nordstrom December 43 Call  11/22/2010  12/02/2010 Sell -41% ($410)
Wynn Resorts November 110 Put  11/18/2010  11/19/2010  Sell -50% ($500)
Baidu November 110 Put  11/15/2010 11/16/2010  TARGET  +68%  +$680
AIG November 45 Call 11/05/2010  11/09/2010  Sell  -48%  ($480)
JP Morgan November 37 Put  11/01/2010  11/03/2010  Sell  -45%  ($450)
Las Vegas Sands November 39 Call  10/26/2010  10/28/2010 TARGET  +153%  +$1530
Amazon November 170 Call  10/22/2010  10/22/2010  TARGET +43%  +$430
Goldman Sachs November 160 Call  10/19/2010  10/28/2010  TARGET  +69%  +$690
Broadcom November 37 Call  10/14/2010  10/19/2010  Sell  -38% ($380)
Oracle November 28 Call  10/11/2010  10/28/2010  TARGET  +83%  +$830
Wells Fargo November 26 Call  10/06/2010  10/14/2010  Sell  -43% ($430)
Deckers November 55 Call  10/05/2010  10/06/2010  Sell  -36% ($360)
Buffalo Wild Wings November 50 Put
 10/05/2010  10/20/2010  TARGET  +74% +$740
Lululemon October 45 Call  09/28/2010  09/30/2010  TARGET  +53%  +$530
PNC Bank October 50 put  09/23/2010  09/24/2010  Sell -44%  ($440)
MGM October 10 Put 09/23/2010  09/24/2010  TARGET  +95%  +$950
Macys October 22 Call
 09/23/2010  09/24/2010 TARGET  +71%  +$710
Whirlpool October 75 Call  09/22/2010  09/23/2010 TARGET  +60%  +$600
Wells Fargo October 26 Call  09/15/2010  09/22/2010  Sell  -70%  ($700)
Trina Solar October 29 Call  09/14/2010  09/15/2010  Sell  -41% ($410)
Dendreon September 41 Put
 09/08/2010  09/14/2010 TARGET  +74%  +$740
Cliff Drilling September 70 Call 09/08/2010  09/09/2010 Sell  -36%  ($360)
Netflix September 120 Put 08/31/2010 09/17/2010 Sell  -100%  ($1000)

Amazon September 120 Put

08/27/2010 09/01/2010  Sell  -43% ($430)

Visa September 67.5 Put

08/24/2010

08/30/2010

 TARGET +77%  +$770

Research in Motion August 50 Put

08/16/2010

08/17/2010

TARGET

+67%

$670

JP Morgan Chase August 38 Put

08/11/2010

08/19/2010

TARGET

+55%

$550

Acme Packet August 30 Call

07/15/2010

07/19/2010

Sell

-48

($480)

 Green Mountain Coffee August 28 Call

 07/09/2010

07/22/2010

TARGET

+107%

$1070

 Cirrus Logic August 17.5 Call

 07/07/2010

07/26/2010

TARGET

+111%

$1111

 Visa July 70 Put

 07/01/2010

 07/01/2010

Sell

-47

($470)

Skechers July 40 Call

06/15/2010

06/21/2010

TARGET

0%

$0

Las Vegas Sands July 26 Call

06/15/2010

 06/25/2010

Sell

-48

($480)

Freeport Mcmoran June 60 Put

06/07/2010

06/09/2010

Sell

-47

($470)

Overstock June 20 Put

06/07/2010

06/11/2010

Sell

-57

($570)

Vmware June 70 Call

06/03/2010

06/04/2010

Sell

-44

($440)

Thoratec June 45 Call

06/02/2010

06/18/2010

Sell

-25

($250)

Sears June 80 Put

06/02/2010

06/02/2010

Sell

-40

($400)

Wells Fargo June 29 Put

05/26/2010

06/03/2010

Sell

-46

($460)

Sony June 30 Put

05/20/2010

06/18/2010

TARGET

+48%

$480

Goldman Sachs May 135 Put

05/19/2010

05/19/2010

Sell

-37

($370)

JPMorgan Chase June 39 Put

05/18/2010

05/21/2010


TARGET

+19%

$190

Goldman Sachs May 140 Put

05/17/2010

05/17/2010

Sell

-41

($410)

US Steel May 52.5 Put

05/14/2010

05/17/2010

TARGET

+83%

$830

Green Mountain Coffee May 75 Put

05/14/2010

05/17/2010

TARGET

+80%

$800

RIMM May 62.5 Put

05/14/2010

Open

Sell

-50

($500)

SanDisk May 45 Call

05/13/2010

05/21/2010

Sell

-100

($1000)

Vmware May 60 Call

05/11/2010

05/13/2010

TARGET

+74%

$740

Intercontinental Exchange May 125 Call

05/10/2010

5/21/2010

Sell

-100

($1000)

Macys May 24 Call

05/10/2010

05/06/2010

Sell

-50

($500)

SanDisk May 43 Call

05/04/10


05/06/2010

Sell

-48

($480)

Boyd Gaming May 12.5 Call

04/29/10

05/06/2010

Sell

-38

($380)

PNC Financial May 67.5 Call

04/27/10

05/06/2010

Sell

-51

($510)

Research in Motion May 70 Put

04/23/10


04/26/10

Sell

-30

($300)

Stec May 15 Call

04/21/10

04/26/10

TARGET

+60%

$600

Vmware May 60 Call

04/16/10

04/21/10

TARGET

+71%

$710

Zion Bancorp May 25 Call

04/12/10

04/21/10

TARGET

+113%

$1130

Las Vegas Sands May 24 Call

04/18/10

05/21/2010

Sell

-100

($1000)

AIG April 35 Call

04/04/10

04/07/2010

TARGET

+71%

$710

Liz Claiborne May 7.5 Call

04/04/10

04/21/10

TARGET

+71%

$710

Shanda Interactive May 45 Call

04/04/10

04/19/10

Sell

-41

($410)

Western Digital April 39 Put

03/26/10

04/04/10

Sell

-50

($500)

Rino April 25 Call

03/25/10

03/30/10

Sell

-40

($400)

State Street April 47 Call

03/25/10

03/25/10

Sell

-43

($430)

MGM Grand April 12 Call

03/22/10

04/01/10

Target

+56%

$560

Gilead Sciences April 48 Call

03/22/10

03/24/10

Sell

-44

($440)

DirecTv April 34 Call

03/19/10

03/26/10

Sell

-42

($420)

Whole Foods April 37 Call

03/16/10

03/19/10

Sell

-40

($400)

Cypress Semi April 12 Call

03/12/10


03/18/10

Sell

-41

($410)

Zion Bancorp April 19 Call

03/09/10

03/10/10

TARGET

+88%

$880

Research in Motion April 75 Call

03/08/10

04/01/10

Sell

-47

($470)

Clean Energy Fuels April 20 Call

03/05/10

03/11/10 

TARGET

+65%

$650

Abercrombie& Fitch March 41 Put

03/05/10


03/08/10

Sell

-41

($410)

Morgan Stanley March 28 Call

03/02/10

03/05/10

TARGET

+43%

$430

Amazon April 125 Call

03/01/10

03/01/10

TARGET

+41%

$410

JP Morgan Chase March 40 Call

02/25/10

02/26/10

TARGET

+81%

$810

Rackspace Hosting March 20 Call

02/23/10

03/02/10

Sell

-46

($460)

Abercrombie & Fitch March 35 Call

02/18/10

03/04/10

TARGET

+200%

$2000

International paper March 24 Call

02/18/10

02/25/10

Sell

-37%

($370)

JP Morgan March 38 Call

02/05/10

02/22/10

TARGET

+71%

$710

Vertex Pharma March 35 Put

 02/05/10

02/11/10

Sell

-50%

($500)

Whirlpool March 75 Put

 02/05/10

02/11/10

 Sell

-37%

($370)

Rimm March 70 Call

 02/03/10

02/12/10

TARGET

+76%

$760

Apollo Group March 60 Put

 01/29/10

02/18/10

Sell

-38%

($380)

Johnson Controls March 27.5 Put

 01/28/10

02/03/10

 Sell

-39%

($390)

Proshares Ultrashort Financials Feb 25 Call

01/28/10

01/28/10

 Sell

-30%

($300)

Exxon March 65 Call

 01/25/10

01/28/10

Sell

-32%

($320)

Proshares Ultrashort Finls Feb 22 Call

01/21/10

01/21/10

TARGET

+25%

$250

Bank of America Feb 16 Call

01/20/10

01/21/10

Sell

-36%

($360)

SunTrust Bank Feb 23 Put

01/12/10

01/20/10

Sell

-39%

($390)

Caterpillar Feb 62.5 Put

01/11/10

01/15/10

TARGET

+57%

$570

Dry Ships Feb 6 Call

01/08/10

01/15/10

Sell

-29%

($290)

Martha Stewart Living Feb 5 Call

01/07/10

01/26/10

Sell

-57

($570)

Delta Air Feb 12 Calls

01/05/10

02/04/10

Sell

-41

($410)

Symantec Feb 19 Call

01/04/10

02/19/10

Sell

-100

($1000)

2010 

$P/L

 

 

 


 

 

 

 

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Disclaimers:

Employees of Kolo Media Group LLC may or may not hold positions in the aforementioned securities at the time of publication, although holdings can change at any time.

Under no circumstances does the information in this content represent a recommendation to buy or sell any security mentioned. All examples are provided for educational purposes only.

Past performance is not indicative of future results.

Prior to buying or selling an option, you should read and understand the Characteristics and Risks of Standardized Options.

U.S. Government Required Disclaimer - Commodity Futures Trading Commission Futures and Options trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to invest in the futures and options markets. Don't trade with money you can't afford to lose. This is neither a solicitation nor an offer to Buy/Sell futures or options. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed on this web site. The past performance of any trading system or methodology is not necessarily indicative of future results.


CFTC RULE 4.41 - HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN.

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