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Currently I have next open positions in my portfolio:
1. Nokia (NOK) feb@15 option straddle taken at 14,03 even position - earnings on 27th of Jan
Analyze:
Nokia has lost a lot of its value on 2004. Next earnings are essential, is it going to break or continue decent. Straddle (buying both call and put options) will be profitable if the movement is big enough.
2. Vasco (VDSI) buy@7,31, min target 8, max target 10+ - earnings 15. feb
3. Silicon Laboratories (SLAB), feb@30 call position - remaining of straddle position taken on SLAB's earnings.
1. Nokia (NOK) feb@15 option straddle taken at 14,03 even position - earnings on 27th of Jan
Analyze:
Nokia has lost a lot of its value on 2004. Next earnings are essential, is it going to break or continue decent. Straddle (buying both call and put options) will be profitable if the movement is big enough.
2. Vasco (VDSI) buy@7,31, min target 8, max target 10+ - earnings 15. feb
3. Silicon Laboratories (SLAB), feb@30 call position - remaining of straddle position taken on SLAB's earnings.
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