Traders Edge

PreviousClosed Posted Trade Results

PROFIT

EURO CURRENCY

December 29, 2021

Trade Opening Details

Sell June 118.50 Euro Currency calls for .40

Trade Closing Details

On June 9, 2022 options expired worthless.

Trade Result

Profit of $500*

Initial Span Margin Requirement

$965

Trade Commentary

The options expired worthless and 100% of the premium was retained.

PROFIT

S&P 500 E-MINI

November 23, 2021

Trade Opening Details

Sell end of month December 4400/4300 put spreads for 9 points

Trade Closing Details

On December 31, 2021 options expired worthless

Trade Result

Profit of $450*

Initial Span Margin Requirement

$1200

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

NATURAL GAS

November 22, 2021

Trade Opening Details

Sell January 3.55 natural gas puts for .53

Trade Closing Details

On January 28th the options expired worthless

Trade Result

Profit of $530*

Initial Span Margin Requirement

$2427

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

GOLD

November 15, 2021

Trade Opening Details

Sell February gold 1695 puts for .52

Trade Closing Details

On February 26th options expired worthless.

Trade Result

Profit of $520*

Initial Span Margin Requirement

$2976

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

October 19, 2021

Trade Opening Details

Sell February crude oil 59 puts for .55

Trade Closing Details

On January 14, 2022 options expired worthless

Trade Result

Profit of $550*

Initial Span Margin Requirement

$998

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

S&P 500 E-MINI

October 12, 2021

Trade Opening Details

Sell December 3800/3600 put spreads for 11 points

Trade Closing Details

On October 25th bought the spread back for 3.6 points

Trade Result

Profit of $370*

Initial Span Margin Requirement

$1300

Trade Commentary

In less than 2 weeks from October 12 to October 25 the market roared back to break the highs. At this point with more than 1.5 months left until expiration it makes sense to close this trade, take profit, and move on.

PROFIT

SILVER

September 29, 2021

Trade Opening Details

Sell January Silver 17.50 puts for .14

Trade Closing Details

On December 28th the options expired worthless.

Trade Result

Profit of $700*

Initial Span Margin Requirement

$6200

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

CORN

September 14, 2021

Trade Opening Details

Sell March 6.00 corn calls for 10 5/8

Trade Closing Details

On February 15th we bought back the corn for 36 3/8

Trade Result

Loss of $1287.50*

Initial Span Margin Requirement

$1018

Trade Commentary

We cut our losses when corn turned bullish

PROFIT

GOLD

August 30, 2021

Trade Opening Details

Sell December gold 1650 puts for 7.1

Trade Closing Details

On November 23 options expired worthless

Trade Result

Profit 0f $710*

Initial Span Margin Requirement

$3702

Trade Commentary

Options expired worthless and 100% of the premium was retained

PROFIT

COPPER

August 27, 2021

Trade Opening Details

Sell December 525 copper calls for 2.00

Trade Closing Details

On November 23 options expired worthless

Trade Result

Profit of $500*

Initial Span Margin Requirement

$2340

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COPPER

August 17, 2021

Trade Opening Details

Sell December copper 330 puts for 2.15

Trade Closing Details

On November 23 options expired worthless

Trade Result

Profit of $537.50*

Initial Span Margin Requirement

$2080

Trade Commentary

Options expired worthless and 100% of the premium was retained

PROFIT

COCOA

August 2, 2021

Trade Opening Details

Sell December 22.50 cocoa puts for .51

Trade Closing Details

Bought the option back for .04 on September 8, 2021

Trade Result

Profit of $470*

Initial Span Margin Requirement

$1298

Trade Commentary

With only 35% of the time gone, we closed the trade and captured 92% of the premium.

PROFIT

CRUDE OIL

July 14, 2021

Trade Opening Details

Sell December 46 crude oil put/Sell November 90 crude oil call for 1.01

Trade Closing Details

November option expired worthless. On October 19, 2021 bought back the December option for .01

Trade Result

Profit of $1,000*

Initial Span Margin Requirement

$1596

Trade Commentary

The trade was a home run. We were able to get out early at a cost of $10.

PROFIT

JAPANESE YEN

June 23, 2021

Trade Opening Details

Sell December Japanese Yen 87.50 puts for .43

Trade Closing Details

On Sept 30th we closed the position for .26

Trade Result

Profit of $212.50*

Initial Span Margin Requirement

$1055

Trade Commentary

With a 6 day in a row drop we felt it was time to close the position early and take a profit.

LOSS

EURO CURRENCY

June 2, 2021

Trade Opening Details

Sell November 117.50 Euro Currency puts for .43

Trade Closing Details

Closed option on August 19th for 1.35

Trade Result

Loss of $1,225*

Initial Span Margin Requirement

$865

Trade Commentary

Decided to exit the position before any more loss occurred.

PROFIT

SILVER

May 25, 2021

Trade Opening Details

Sell September 23 silver put/buy September 21.5 silver put for 10.6

Trade Closing Details

Options expired worthless on August 26th.

Trade Result

Profit of $530*

Initial Span Margin Requirement

$1800

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

May 19, 2021

Trade Opening Details

Sell September 44 crude oil puts for .52

Trade Closing Details

Options expired worthless on August 17, 2021

Trade Result

Profit of $520*

Initial Span Margin Requirement

$933

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

GOLD

April 28, 2021

Trade Opening Details

Sell October gold 1500 puts for 5.4

Trade Closing Details

On 6/21/21 we bought back October 1500 put for $310

Trade Result

Profit of $230*

Initial Span Margin Requirement

$3122

Trade Commentary

We kept 42% of the premium with over 3 months before expiration.

PROFIT

CORN

April 22, 2021

Trade Opening Details

Sell 3 September corn 470 puts/sell 2 September corn 740 calls for .52

Trade Closing Details

Options expired worthless on August 27, 2021.

Trade Result

Profit of $2600*

Initial Span Margin Requirement

$2300

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COFFEE

March 31, 2021

Trade Opening Details

Sell September 105 coffee puts for 1.70

Trade Closing Details

Options expired worthless on August 13, 2021

Trade Result

Profit of $637.50*

Initial Span Margin Requirement

$1650

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COPPER

March 16, 2021

Trade Opening Details

Sell May copper 353 puts for 2.00

Trade Closing Details

On May 27th options expired worthless

Trade Result

Profit of $500*

Initial Span Margin Requirement

$2261

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

SOYBEANS

March 11, 2021

Trade Opening Details

Sell May 15.50 soybean calls for 10 5/8

Trade Closing Details

Buy May 15.50 soybeans calls for 1 5/8

Trade Result

Profit of $450*

Initial Span Margin Requirement

$1063

Trade Commentary

Bought the trade back early and locked in a profit of $450*

PROFIT

NATURAL GAS

February 9, 2021

Trade Opening Details

Sell July natural gas 240 puts for .50

Trade Closing Details

Options expired worthless on June 25, 2021

Trade Result

Profit of $500*

Initial Span Margin Requirement

$614

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

S&P500 E-MINI

January 14, 2021

Trade Opening Details

Buy February 38.00/37.50 put spread/Sell 36.00/35.00 put spread.

Trade Closing Details

Options expired worthless

Trade Result

Loss of $215*

Initial Span Margin Requirement

$650

Trade Commentary

The market rallied over the last month so this trade expired worthless for a loss of $215*

PROFIT

CRUDE OIL

January 13, 2021

Trade Opening Details

Sell May crude oil 37 puts for .52

Trade Closing Details

Options expired worthless on April 15, 2021

Trade Result

Options expired worthless and 100% of premium retained.

Initial Span Margin Requirement

$1096

Trade Commentary

We let the trade expired worthless and retained the premium.

PROFIT

COTTON

January 7, 2021

Trade Opening Details

Buy 1 July cotton 92 call for 2.06/Sell 4 July 102 calls for 1.015

Trade Closing Details

On June 1st we sold the 92 call for $120. Total profit on the trade was $1120*.

Trade Result

Profit of $1120*

Initial Span Margin Requirement

$2481

Trade Commentary

One of the rare times the profit is more than we originally collected.

PROFIT

SILVER

December 9, 2020

Trade Opening Details

Sell May silver 1675/1875 put spread for .145

Trade Closing Details

Options expired worthless on April 27, 2021

Trade Result

Profit of $725*

Initial Span Margin Requirement

$1927

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

CRUDE OIL

November 11, 2020

Trade Opening Details

Selling May crude oil 57.50 calls for .51

Trade Closing Details

The trade was covered on March 25 by going long 1 May crude futures at 59.36

Trade Result

Loss of $1350 ($1860 futures minus $510 collected)*

Initial Span Margin Requirement

$1096

Trade Commentary

As the market became bullish we covered on March 25th.

PROFIT

GOLD

November 18, 2020

Trade Opening Details

Sell April gold 1550 puts for 5.40.

Trade Closing Details

On March 25, 2021 options expired worthless.

Trade Result

Profit of $540*

Initial Span Margin Requirement

$3335

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

JAPANESE YEN

October 21, 2020

Trade Opening Details

Sell February Japanese Yen 101 calls for .42

Trade Closing Details

Options expired worthless on 2/5/21

Trade Result

Profit of $525*

Initial Span Margin Requirement

$2235

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

WHEAT

October 1, 2020

Trade Opening Details

Sell March wheat 6.50 calls for 11

Trade Closing Details

Buy March wheat 6.50 calls for 21 3/8

Trade Result

Loss of $519*

Initial Span Margin Requirement

$696

Trade Commentary

Although we rolled the strike up to 7.10 and made money, this trade lost money.

PROFIT

HEATING OIL

September 3, 2020

Trade Opening Details

Sell November heating oil 1.00 puts for 1.35

Trade Closing Details

Options expired worthless on 10/27/20

Trade Result

Profit of $567*

Initial Span Margin Requirement

$2354

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

GOLD

August 25, 2020

Trade Opening Details

Sell December gold 1575 puts for .54

Trade Closing Details

Options expired worthless on 11/24/2020.

Trade Result

Profit of $540*

Initial Span Margin Requirement

$2400

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

AUSTRALIAN DOLLAR

August 3, 2020

Trade Opening Details

Sell December Australian Dollar 66.50 puts for .53

Trade Closing Details

Options expired worthless on 12/4/2020.

Trade Result

Profit of $530*

Initial Span Margin Requirement

$1048

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COCOA

July 21, 2020

Trade Opening Details

Sell December cocoa 2000 puts for .50

Trade Closing Details

Closed options on 8/25/20 for .07

Trade Result

Profit of $430*

Initial Span Margin Requirement

$1160

Trade Commentary

No heat trade. In less than a third of the time we kept 86% of the premium.

PROFIT

EURO CURRENCY

July 14, 2020

Trade Opening Details

Sell November Euro Currency 109.50 put/Sell 119 call for credit of1025*

Trade Closing Details

Both options expired worthless on 11/6/2020

Trade Result

Profit of $1025*

Initial Span Margin Requirement

$904

Trade Commentary

Both options expired worthless and a 100% of the premium was retained.

PROFIT

GOLD

July 2, 2020

Trade Opening Details

Sell August 1720/1680 gold put spread for 5.4

Trade Closing Details

Closed options on 7/7/20 for 1.8

Trade Result

Profit of $360*

Initial Span Margin Requirement

$1600

Trade Commentary

The uptrend in gold is still intact. Gold broke back above 1800 today and is currently at 1807. We were able to close the trade after only 5 days at a good price. Stay tuned as we might enter a new gold trade soon if the market pulls back.

PROFIT

COPPER

June 19, 2020

Trade Opening Details

Sell September copper 3.00 calls for .215.

Trade Closing Details

Optioned expired worthless on 8/26/20

Trade Result

Profit of $537.50*

Initial Span Margin Requirement

$1560

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

JAPENESE YEN

June 8, 2020

Trade Opening Details

Sell December Japanese Yen 100.50 calls for .40

Trade Closing Details

Options expired worthless on 12/4/2020.

Trade Result

Profit of $500*

Initial Span Margin Requirement

$1518

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COPPER

May 29, 2020

Trade Opening Details

Sell September copper 2.10 puts for .245

Trade Closing Details

Options expired worthless on 8/26/20.

Trade Result

Profit of $612.50*

Initial Span Margin Requirement

$1781

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

CORN

May 28, 2020

Trade Opening Details

Sell September corn 3.15 puts for 10 3/8

Trade Closing Details

Options expired worthless on 8/21/20

Trade Result

Profit of $518.75*

Initial Span Margin Requirement

$662

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

NATURAL GAS

May 12, 2020

Trade Opening Details

Sell August natural gas 1.60 put for .57

Trade Closing Details

Bought options back on 7/6/20 for .42

Trade Result

Profit of $150*

Initial Span Margin Requirement

$547

Trade Commentary

Despite the market dropping 14% we bought the option back for a 26% profit over 3 weeks before expiration.

PROFIT

GOLD

May 5, 2020

Trade Opening Details

Sell July gold 1500 put for .50

Trade Closing Details

Options expired worthless on June 25, 2020

Trade Result

Profit of $500*

Initial Span Margin Requirement

$3484

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

EURO CURRENCY

March 3, 2020

Trade Opening Details

Sell September Euro Currency 118 calls for .42

Trade Closing Details

Bought options back on 3/10/20 for 1.24

Trade Result

Loss of $1025*

Initial Span Margin Requirement

$848

Trade Commentary

We cut our losses due to extreme volatility caused by COVID-19.

PROFIT

GOLD

February 19, 2020

Trade Opening Details

Buy 1 October Gold 15.10 put/sell 4 October 14.50 puts for 10.50

Trade Closing Details

All options expired worthless on 9/24/20

Trade Result

Profit of $1050*

Initial Span Margin Requirement

$4600

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

February 13, 2020

Trade Opening Details

Buy 1 October crude oil 60 call for 1.55/sell 4 October crude oil 65 calls for .65

Trade Closing Details

All options expired worthless on 9/17/20

Trade Result

Profit of $1050*

Initial Span Margin Requirement

$2852

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

SILVER

February 6, 2020

Trade Opening Details

Sell July silver 22.75 calls for .10

Trade Closing Details

Options expired worthless on June 25, 2020

Trade Result

Profit of $500*

Initial Span Margin Requirement

$1510

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COFFEE

February 5, 2020

Trade Opening Details

Sell July coffee 87.5 puts for 1.38

Trade Closing Details

Bought option back on March 10, 2020 for .38

Trade Result

Profit of $375*

Initial Span Margin Requirement

$2238

Trade Commentary

Bought the option back with over 3 months until expiration and retained 72% of the premium.

LOSS

CRUDE OIL

February 4, 2020

Trade Opening Details

Sell December Crude Oil 34 puts for .53.

Trade Closing Details

Bought back options on 3/13/20 for 3.75.

Trade Result

Loss of $3220*

Initial Span Margin Requirement

$670

Trade Commentary

Due to COVID-19 the premium exploded and we bought back the position.

LOSS

COPPER

January 24, 2020

Trade Opening Details

Sell June 2.45 Copper puts for 2.55

Trade Closing Details

Bought the options back 1/30/2020 for 6.80.

Trade Result

Loss of $1062.50*

Initial Span Margin Requirement

$1019

Trade Commentary

Broke support and therefore bought options back at a loss.

PROFIT

SILVER

December 30, 2019

Trade Opening Details

Sell September 14.75 silver puts for .101

Trade Closing Details

Options expired worthless on 8/26/20

Trade Result

Profit of $505*

Initial Span Margin Requirement

$1442

Trade Commentary

All options expired worthless and 100% of the premium was retained.

LOSS

S&P500

December 10, 2019

Trade Opening Details

Sell March 2750/2800 put credit spreads for 4.5

Trade Closing Details

Closed the spread on March 10, 2020 for 23

Trade Result

Loss of $4,625*

Initial Span Margin Requirement

$1,500

Trade Commentary

Bought the spread back on March 10, 2020 to cut our losses.

PROFIT

SILVER

December 3, 2019

Trade Opening Details

Buy 1 July $21 silver call for .265 = $1325. Sell 3 July $23 silver calls for .155 x 3 =$2325

Trade Closing Details

Options expired worthless on June 25, 2020

Trade Result

Profit of $1000*

Initial Span Margin Requirement

$2479

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

November 14, 2019

Trade Opening Details

Sell May 70 crude oil calls for .51

Trade Closing Details

Options expired worthless on April 16, 2020

Trade Result

Profit of $510*

Initial Span Margin Requirement

$1244

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

ORANGE JUICE

October 30, 2019

Trade Opening Details

Sell January .95 Orange Juice puts for 3.35

Trade Closing Details

Options expired worthless on 12/20/19

Trade Result

Profit of $502.50*

Initial Span Margin Requirement

$1071

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

RBOB

October 21, 2019

Trade Opening Details

Sell January 127 RBOB puts for 1.38

Trade Closing Details

Bought options back on November 19th for .11

Trade Result

Profit of $532.80*

Initial Span Margin Requirement

$1657

Trade Commentary

Bought the options back on 11/19/19 and we retained 92% of the premium.

PROFIT

GOLD

October 7, 2019

Trade Opening Details

Buy 1 February Gold 1700 call for $1070. Sell 3 February Gold 1750 calls for 7.40 = $2220

Trade Closing Details

All options expired worthless on January 28, 2020

Trade Result

Profit of $1150*

Initial Span Margin Requirement

$2940

Trade Commentary

All options expired worthless and 100% of the premium was retained.

PROFIT

COFFEE

September 19, 2019

Trade Opening Details

Sell March 90 coffee puts for 1.84

Trade Closing Details

Options expired worthless on February 14, 2020.

Trade Result

Profit of 690*

Initial Span Margin Requirement

$1403

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

September 12, 2019

Trade Opening Details

Sell February 39.50 Crude Oil puts for .50

Trade Closing Details

Options expired worthless on January 15, 2020

Trade Result

Profit of $500*

Initial Span Margin Requirement

$941

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

COTTON

August 21, 2019

Trade Opening Details

Selling December cotton 56 puts for 1.11

Trade Closing Details

On October 7th bought back December cotton 56 puts for .19

Trade Result

Profit of $460*

Initial Span Margin Requirement

$1199

Trade Commentary

We took profit with over a month until expiration.

PROFIT

SILVER

August 14, 2019

Trade Opening Details

Buy 1 December $21.00 Silver call for .192 = $960. Sell 4 December $23.00 Silver calls for .10 x 4 = $2,000

Trade Closing Details

Options expired worthless on November 25th.

Trade Result

Profit of $1040*

Initial Span Margin Requirement

$2967

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

LEAN HOGS

July 30, 2019

Trade Opening Details

Sell October 61 Lean Hog puts for 1.25

Trade Closing Details

Buy October 61 Lean Hog puts for .55

Trade Result

Profit of $280*

Initial Span Margin Requirement

$772

Trade Commentary

With only 8 days left the market has fallen too close to the strike price. We decided to exit the trade and retain 56% of the premium.

PROFIT

GOLD

July 18, 2019

Trade Opening Details

Sell February Gold 1290 puts for $520*

Trade Closing Details

Options expired worthless on January 28, 2020

Trade Result

Profit of $520*

Initial Span Margin Requirement

$1100

Trade Commentary

Options expired worthless and 100% of premium was retained.

PROFIT

COPPER

July 2, 2019

Trade Opening Details

Sell December 2.35 Copper puts for 2.35

Trade Closing Details

Options expired worthless on November 25th

Trade Result

Profit $587.50*

Initial Span Margin Requirement

$924

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

CRUDE OIL

June 24, 2019

Trade Opening Details

Sell December crude oil 40.00 puts for .50

Trade Closing Details

Options expired worthless on November 15th.

Trade Result

Profit of $500*

Initial Span Margin Requirement

$1107

Trade Commentary

All options expired worthless 100% of the premium was retained.

PROFIT

RBOB

June 20, 2019

Trade Opening Details

Sell September RBOB 1.40 puts for 1.55 . Sell September RBOB 2.15 calls for 1.32

Trade Closing Details

Both sides of the strangle expired worthless.

Trade Result

Profit of $1205*

Initial Span Margin Requirement

$1636

Trade Commentary

100% of premium was retained.

PROFIT

Japanese Yen

June 3, 2019

Trade Opening Details

Sell December 101.50 Japanese Yen calls for .43

Trade Closing Details

Options expired worthless on 12/6/19

Trade Result

Profit of $537*

Initial Span Margin Requirement

$836

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

British Pound

May 29, 2019

Trade Opening Details

Sell December 117 British Pound puts for .82

Trade Closing Details

Options expired worthless on 12/6/19

Trade Result

Profit of 512.50*

Initial Span Margin Requirement

$974

Trade Commentary

Options expired worthless and 100% of the premium was retained.

LOSS

S&P 500

May 21, 2019

Trade Opening Details

Sell July 2500/2600 put credit spreads for 5.3 points x $250 = $1325*

Trade Closing Details

On May 31 we closed 2/3 of the put spreads for an average price of 13.05 points. On June 12 we closed 1/3 of the put spreads at a price of 3.0 points. The average closing price for the trade was 9.7 points.

Trade Result

The market fell over 100 points in 10 days after we entered the trade. We closed 2/3 of the trade at a loss on May 31. The market then turned around and rallied more than 100 points over the next 10 days and we then closed 1/3 of the spreads at a small profit. Overall the average result of the trade was a loss of 4.4 points x $250 = $1,100* per spread.

Initial Span Margin Requirement

$4,500 per spread

Trade Commentary

Immediately after entering this neutral to bullish trade the market went the wrong way and fell as the trade war escalated. On May 31 we took a loss on 2 of the spreads. The market then rallied and we closed the remaining spread on June 12 for a small profit. Overall the trade was a loss due to the higher prices paid to close the spreads on May 31.

PROFIT

AUSTRALIAN DOLLAR

May 16, 2019

Trade Opening Details

Sell September Australian Dollar 67 puts for .52

Trade Closing Details

Options Expired Worthless on 9/6/19.

Trade Result

Profit of 520*

Initial Span Margin Requirement

$739

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

Canadian Dollar

April 10, 2019

Trade Opening Details

Sell December 72.50 Canadian Dollar puts for .50

Trade Closing Details

Bought December 72.50 Canadian Dollar puts for .005

Trade Result

Profit of $495*

Initial Span Margin Requirement

$509

Trade Commentary

Bought the options back over a month early and retained 99% of the premium.

PROFIT

S&P 500

April 9, 2019

Trade Opening Details

Sell 2 May S&P 500 2975/3000 call credit spreads for 3.3 x 2 =$1650* Sell 3 June S&P 500 2500/2600 put credit spreads for 4.9 x 3= $3675* Expiration date for calls is 5/17/19 and the puts expire 6/21/19

Trade Closing Details

On Friday, May 17 the 2 May 2975/3000 call spreads expired worthless as the S&P500 settled at 2862. On Tuesday May 21 we bought back the 3 June 2500/2600 put spreads for 2.6 points each.

Trade Result

The call spreads expired worthless for a full collection of $1,650*. We bought back the put spreads for a partial profit. Collected $3,675* and paid $1,950* to close for a profit of $1,725*. Total profit not including commission and fees = $1,650* + $1,725* = $3,375* out of a potential maximum profit of $5,325.

Initial Span Margin Requirement

$10,000

Trade Commentary

After we entered the trade on April 9 the S&P500 continued to rally though the rest of the month and reached a high point of 2961. At the beginning of May the market fell on renewed trade war issues, it reached a low point on May 14th of 2800. The call spreads expired worthless and we closed the put spreads at a profit 1 month before expiration.

PROFIT

GOLD

March 21, 2019

Trade Opening Details

Buy 1 August Gold 1400 call for $1060. Sell 4 August Gold 1450 calls for $520 each.

Trade Closing Details

Sold 1 August Gold 1400 call for $1800. Bought 4 August Gold 1450 calls for $300 each.

Trade Result

Profit of $1620*

Initial Span Margin Requirement

$2803

Trade Commentary

We exited the trade 2 weeks early. Best of both worlds, we made money on the way in and on the way out.

PROFIT

CRUDE OIL

February 20, 2019

Trade Opening Details

Sell July 45.00 Crude Oil puts for .55

Trade Closing Details

Options expired worthless on 6/17/19

Trade Result

Profit of $550*

Initial Span Margin Requirement

$1177

Trade Commentary

All options expired worthless and a 100% of the premium was retained.

PROFIT

SOYBEANS

February 11, 2019

Trade Opening Details

Sell November 8.40 Soybean puts for .10

Trade Closing Details

Buy November 8.40 Soybean puts for 9 3/8 .

Trade Result

Profit OF $31*

Initial Span Margin Requirement

$491

Trade Commentary

With Soybeans down $1.00 since we entered the trade and almost 2 months left we decided to exit the trade early.

PROFIT

BRITISH POUND

February 6, 2019

Trade Opening Details

Selling June British Pound 120.50 puts for .80

Trade Closing Details

Bought the options back on 5/30/2019 for .001

Trade Result

Profit of $493.75*

Initial Span Margin Requirement

$985

Trade Commentary

With over a week left until expiration and over a 98% profit we closed the trade early.

LOSS

COFFEE

January 14, 2019

Trade Opening Details

Selling July .95 Coffee puts for 1.72

Trade Closing Details

Bought the options back on 2/26/2019 for 3.21

Trade Result

Loss of $559*

Initial Span Margin Requirement

$804

Trade Commentary

Broke support and we bought back options at a loss.

PROFIT

JAPANESE YEN

January 3, 2019

Trade Opening Details

Sell June 104 Japanese Yen calls for .41

Trade Closing Details

Bought the options back on 5/20/2019 for .005

Trade Result

Profit of $505.75*

Initial Span Margin Requirement

$617

Trade Commentary

With 3 weeks left until expiration and a 99% profit we closed the trade.

PROFIT

CRUDE OIL

December 6, 2018

Trade Opening Details

Selling March Crude Oil 39.00 puts for .51

Trade Closing Details

Options expired worthless on February 14, 2019

Trade Result

Profit of $510*

Initial Span Margin Requirement

$1082

Trade Commentary

Options expired worthless and a 100% of the premium was retained.

PROFIT

EURO CURRENCY

October 31, 2018

Trade Opening Details

Sell March 108 Euro Currency puts for .40

Trade Closing Details

Options expired worthless on March 8, 2019

Trade Result

Profit of 500*

Initial Span Margin Requirement

$980

Trade Commentary

Options expired worthless and a 100% of the premium was retained.

PROFIT

AUSTRAILIAN DOLLAR

October 17, 2018

Trade Opening Details

Sell March 68 Australian Dollar puts for .53

Trade Closing Details

Options expired worthless on March 8, 2019.

Trade Result

Profit of $530*

Initial Span Margin Requirement

$570

Trade Commentary

Options expired worthless and a 100% of the premium was retained.

PROFIT

SILVER

October 3, 2018

Trade Opening Details

Sell March 13.25 Silver puts for 12.3

Trade Closing Details

Options expired worthless on February 25, 2019.

Trade Result

Profit of $615*

Initial Span Margin Requirement

$1569

Trade Commentary

Options expired worthless and a 100% of premium was retained.

PROFIT

COPPER

September 5, 2018

Trade Opening Details

Sell November 240 Copper puts for 2 cents.

Trade Closing Details

Bought the options back on 10/2/18 for $25*

Trade Result

Profit of $475*

Initial Span Margin Requirement

$1553

Trade Commentary

With over 3 weeks left until expiration and a 95% profit we closed the trade.

PROFIT

COFFEE

August 20, 2018

Trade Opening Details

Sell December 92.5 Coffee puts for 1.41.

Trade Closing Details

Bought the options back on 10/8/18 for $41.25

Trade Result

Profit of $486.75*

Initial Span Margin Requirement

$978

Trade Commentary

With over 30 days left until expiration we exited a month early and retained over 78% of the premium.

PROFIT

WHEAT

August 9, 2018

Trade Opening Details

Sell May 8.00 Wheat calls for 10.25

Trade Closing Details

Bought the options back on 10/31/18 for $50

Trade Result

Profit of $462.50*

Initial Span Margin Requirement

$636

Trade Commentary

With almost 6 months left until expiration we exited early and retained over 97% of the premium.

PROFIT

GOLD

June 25, 2018

Trade Opening Details

Sell 2 April Gold 1150 puts for $540 each. Buy 1 April Gold 1400 call for $1,670. Sell 1 April Gold 1500 call for $730.

Trade Closing Details

On March 26, 2019 options expired worthless.

Trade Result

Profit of $140*

Initial Span Margin Requirement

$1379

Trade Commentary

Options expired worthless and 100% of the premium was retained.

PROFIT

JAPANESE YEN

May 31, 2018

Trade Opening Details

Sell September 97.50 Japanese Yen calls for .42

Trade Closing Details

Bought the option back on 8/1/18 for 2 ticks = $25.00*

Trade Result

Profit of $500*

Initial Span Margin Requirement

$839

Trade Commentary

As expected the Japanese Yen declined allowing us to exit over a month early with almost all of the premium.

PROFIT

S&P500

May 9, 2018

Trade Opening Details

Sold a August 2860/2900 call spread Sold a August 2300/2400 put spread Collected 10.6 points - $2,650*

Trade Closing Details

Trade Adjustments: May 21, 2018 - Moved the short 2400 put up to 2460, Collected 3 points or $750* June 12, 2018 - Moved the long 2900 call down to 2885. Paid 2.90 points or $725* Closed all remaining positions for 5.5 points or $1,375*.

Trade Result

Profit of $1,300*

Initial Span Margin Requirement

3,500

Trade Commentary

We were able to buy back the Iron Condor at a profit a month and a half prior to expiration.

PROFIT

CRUDE 0IL

May 7, 2018

Trade Opening Details

Sell November 85.00 Crude Oil calls for .50

Trade Closing Details

Options expired worthless on October 17, 2018

Trade Result

Profit of $500*

Initial Span Margin Requirement

$440

Trade Commentary

Options expired worthless and a 100% of the premium was retained.

MIXED

SUGAR

April 25, 2018

Trade Opening Details

Buy 5 October .12 Sugar calls for .45 cents.

Trade Closing Details

On May 22, 2018 sold 2 of the October .12 Sugar calls for .98. On September 17, 2018 the remaining 3 October .12 Sugar calls expired worthless.

Trade Result

Lost an average of $64.96 per option.*

Trade Commentary

Paid $2520 for the 5 October Sugar calls. Sold 2 of the October Sugar calls for $2195 to cover over 80% of the cost and let the remaining run until expiration.

PROFIT

AUSTRALIAN DOLLAR

April 4, 2018

Trade Opening Details

Sell September 73 Australian Dollar puts for $520*

Trade Closing Details

Bought the options back on 7/31/18 for $310*

Trade Result

Profit of $210*

Initial Span Margin Requirement

$591

Trade Commentary

Despite the market dropping 270 points we were able to exit a month early with over 35% return on equity. This exemplifies the beauty of option writing. Economic weakness in China (Australia's biggest trade partner) motivated us to exit.

LOSS

CORN

March 26, 2018

Trade Opening Details

Sell September 3.70 Corn puts for 13 3/8 cents.

Trade Closing Details

On June 15, 2018 bought September 3.70 Corn puts for 15 7/8.

Trade Result

Loss of $125*

Initial Span Margin Requirement

$316

Trade Commentary

A declining market and fear of tariffs influenced us to take a small loss.

LOSS

LEAN HOGS

March 8, 2018

Trade Opening Details

Sell August 72.00 Lean Hog puts for 1.65 $660*

Trade Closing Details

Bought the Lean Hog put option back for 3.75 on April 3, 2018.

Trade Result

Loss of $840*

Initial Span Margin Requirement

$405

Trade Commentary

Lean Hogs under pressure due to the Chinese trade tariffs. High slaughter numbers due to high grain prices.

PROFIT

COFFEE*

February 21, 2018

Trade Opening Details

Sell July 112.50 Coffee puts for 1.85.

Trade Closing Details

Option expired worthless on June 8, 2018.

Trade Result

Profit of 693.75*

Initial Span Margin Requirement

$1,027

Trade Commentary

Option expired worthless. 100% of the premium retained.

PROFIT

CRUDE OIL*

January 22, 2018

Trade Opening Details

Sell May 69 Crude Oil calls for .54

Trade Closing Details

Bought May 69 Crude Oil call for .05

Trade Result

Profit of 490*

Initial Span Margin Requirement

$827

Trade Commentary

With tensions mounting in Syria we decided to take our profits a week before option expiration.

PROFIT

NATURAL GAS*

January 2, 2018

Trade Opening Details

Sell a March 4.00 Natural Gas call for $580*

Trade Closing Details

Expired worthless on February 23, 2018

Trade Result

Profit of $580*

Trade Commentary

Option expired worthless and 100% of the premium was retained.

PROFIT

JAPANESE YEN*

December 26, 2017

Trade Opening Details

Sell March Japanese Yen .87 put for .0042 for $525*

Trade Closing Details

Options expired worthless on March 9, 2018

Trade Result

Profit of $525*

Initial Span Margin Requirement

$1,483

Trade Commentary

All options expired worthless and 100 % of the premium was retained.

PROFIT

SILVER

November 20, 2017

Trade Opening Details

Sell July Silver 14.00 put for 0.111

Trade Closing Details

Bought July 14.00 put for .09 on April 18, 2018.

Trade Result

Profit of $510*

Initial Span Margin Requirement

$1422

Trade Commentary

With over 2 months left and over 90% profit we closed the trade.

PROFIT

EURO CURRENCY*

November 15, 2017

Trade Opening Details

Sell June 129 Euro Currency calls for .0040

Trade Closing Details

Option expired worthless on June 8, 2018.

Trade Result

Profit of $500*

Initial Span Margin Requirement

$970

Trade Commentary

Option expired worthless. Retained 100% of the premium.

PROFIT

COTTON*

October 12, 2017

Trade Opening Details

Sell a March 63 Cotton put for .0107

Trade Closing Details

Bought the put back for $95 on November 22, 2017

Trade Result

Profit of $440*

Trade Commentary

With only 35% of the time gone we were able to retain 83% of the premium and lock in another profit.

PROFIT

NATURAL GAS*

October 4, 2017

Trade Opening Details

Sell a March 2.50 Natural Gas put for $530*

Trade Closing Details

Expired worthless February 23, 2018

Trade Result

Profit of $530*

Trade Commentary

Option expired worthless and 100% of the premium was retained.

PROFIT

LEAN HOGS*

August 23, 2017

Trade Opening Details

Sell a December 52 Lean Hog put for 1.475

Trade Closing Details

Bought back the put for $40 on 10/31/17*

Trade Result

Profit of $550*

Trade Commentary

With less than 2/3 of the time gone we were able to retain over 93% of the premium.

PROFIT

EURO CURRENCY*

August 2, 2017

Trade Opening Details

Sell a December Euro Currency 113 put for 500* Sell a December Euro Currency 126 call for 500*

Trade Closing Details

Both options expired worthless*

Trade Result

Profit of a $1000*

Trade Commentary

Both options expired worthless. 100% of premium was retained.

PROFIT

COFFEE*

June 7, 2017

Trade Opening Details

Sell a December Coffee 112.5 put for $615*

Trade Closing Details

Bought the put back for $48.75 on October 9, 2017

Trade Result

Profit of $566.25*

Trade Commentary

Despite Coffee trending lower, we were able to retain almost 80% of the premium and exit a month early.

PROFIT

Canadian Dollar*

May 11, 2017

Trade Opening Details

Sell a December Canadian Dollar $70.00 put for $570*

Trade Closing Details

Bought the put back for $70 on 7/10/17

Trade Result

Profit of $500*

Trade Commentary

With less than 30% of the time gone we retained over 87% of the premium.

PROFIT

Euro Currency*

May 2, 2017

Trade Opening Details

Sell a September 104 Euro Currency put for $537.50*

Trade Closing Details

Bought the put back for $75 on 6/12/2017

Trade Result

Profit of $462.50*

Trade Commentary

With only 33% of the time gone we retained over 86% of the premium.

PROFIT

S & P 500*

April 17, 2017

Trade Opening Details

Sell 2 June 21.75 S&P 500 puts for 13.85 x 2 + $6,925 Buy 2 June 21.25 S & P puts for 10.00 x 2 = $5,000 Buy a June 23.00 S & P 500 put for 36.60 x 1 = $9,150 Sell a June 22.75 S & P put for 30.00 x 1 = $7,500

Trade Closing Details

On April 28: Bought 2 June 2175 puts for 3.5 x 2 = $1,750 Sold 2 June 2125 puts for 2.5 x 2 = $1,250 Bought 1 June 2275 put for 9 = $2,250 Sold 1 June 2300 put for 11.3 = $2,825 Credit at closing $75*

Trade Result

Profit of $350*

Trade Commentary

We collected a small credit when we opened the trade and the market immediately rallied. We were then able to collect a small credit when we closed the trade 11 days after it was opened.

PROFIT

SILVER*

April 5, 2017

Trade Opening Details

Buy 1 December Silver $23.50 call for .241 x 5000 oz. = $1,205 Sell 3 December Silver $25.00 calls for .15 x 5000 oz. = $2,250

Trade Closing Details

All options expired worthless.*

Trade Result

Profit of $1,045*

Trade Commentary

All options expired worthless. 100% of the premium was retained.

PROFIT

SOYBEANS*

February 13, 2017

Trade Opening Details

Sell 4 November 8.60 Soybeans puts for .10375 x 5000 bushels x 4 = $2,075 Sell 2 November 12.00 Soybean calls for .21 x 5000 bushels x 2 = $2,100 Buy 2 November 11.00 Soybean calls for .3975 x 5000 bushels x 2 = $3,975*

Trade Closing Details

All options expired worthless*

Trade Result

Profit of $200*

Trade Commentary

All options expired worthless.

PROFIT

JAPANESE YEN*

January 31, 2017

Trade Opening Details

Sell a September Japanese Yen 105.50 call for $550*

Trade Closing Details

Bought the call back for $31.25 on 5/15/17

Trade Result

Profit of $518.75*

Trade Commentary

Downward movement in price and volatility allowed us to take profits 3 months early.

PROFIT

Canadian Dollar*

January 11, 2017

Trade Opening Details

Sell a June Canadian Dollar $71.50 put for $510*

Trade Closing Details

Expired Worthless on June 9, 2017

Trade Result

Profit of $510*

Trade Commentary

Canadian Dollar was never below $72.50

PROFIT

CRUDE OIL*

January 4, 2017

Trade Opening Details

Sold a May 65.00 call for $550*

Trade Closing Details

Bought the call back for $10 on 3/30/17.

Trade Result

Profit of $540*

Trade Commentary

At the inception of the trade the price of oil was over $55. The current price of oil is $50.33. We decided to close the trade 18 days early for the small cost of $10.

PROFIT

GOLD*

September 26, 2016

Trade Opening Details

Buy 1 August Gold 1650 call for 17.8 x 100 oz = $1780 Sell 4 August Gold 1850 calls for 7.6 x 100 oz = $3040 Buy 1 August Gold 1115 put for 9.6 x 100 oz = $960 Sell 4 August Gold 1055 puts for 5.1 x 100 oz = $2040

Trade Closing Details

The trade expired worthless on 7/26/17

Trade Result

Profit of $2340*

Trade Commentary

All options expired worthless and we retained 100% of the premium.

PROFIT

SILVER*

September 12, 2016

Trade Opening Details

Ratio Write: Buy 1 January 17.00 put Sell 4 January 16.00 puts for a credit of $1,015*

Trade Closing Details

Silver closed right at the short strike price of $16.00*

Trade Result

Profit of $6,015*

Trade Commentary

A total Grand Slam. The $17.00 put we owned was worth an additional $5,000 and the short put options expired worthless. We made $1,015 on the way in and $5,000 on the way out.

PROFIT

COPPER*

August 3, 2016

Trade Opening Details

Sold December 190 put for .0215 Collected $537*

Trade Closing Details

Option expired worthless on 11/22/16*

Trade Result

Profit of $537*

Trade Commentary

As expected copper remained above 200.

PROFIT

SILVER*

June 29, 2016

Trade Opening Details

Ratio Write: Buy 1 September 20.50 call Sell 4 September 22.00 calls for a credit of $1,100*

Trade Closing Details

All options expired worthless on 8/25/16*

Trade Result

A profit of $1,100*

Trade Commentary

Silver never traded above 21.06 during the trade.

PROFIT

EURO CURRENCY*

June 8, 2016

Trade Opening Details

Ratio Write Strangle: Buy 1 December 118.5 call Sell 4 December 122.5 calls Buy 1 December 110 put Sell 4 December 105 puts for a credit of $2,112.50*

Trade Closing Details

On 10/11/16 we closed the put side for an extra $400 credit on top of the original $1,100 credit. On 10/13/16 closed the call side for a $25 debit.*

Trade Result

Total profit of $2,487.50*

Trade Commentary

Made an extra $375 on top of the original $2,112.50 credit.

PROFIT

BRITISH POUND*

May 16, 2016

Trade Opening Details

Ratio Write: Buy 1 July 141 put Sell 4 July 133 puts for a credit of $1,344*

Trade Closing Details

Closed the trade on 5/24/16*

Trade Result

Profit of $1,094*

Trade Commentary

We entered this trade on May 16th with the plan of closing it on June 22nd prior to the British vote on exiting the EU. Instead, we took our profit and exited earlier.

PROFIT

OIL*

March 29, 2016

Trade Opening Details

Sold 2 November 26 puts for $1,060*

Trade Closing Details

Bought back the puts on 5/6/16 for $360.*

Trade Result

Profit of $700*

Trade Commentary

Not even two months into the trade and with 5 months remaining the options were bought back.

PROFIT

CRUDE OIL*

January 12, 2016

Trade Opening Details

Sold 4 June 23 puts for $3,296*

Trade Closing Details

The trade expired worthless on 5/17/16*

Trade Result

Profit of $3,296.*

Trade Commentary

The trade worked well from inception and was a total retention of premium.

PROFIT

SOYBEANS*

November 13, 2015

Trade Opening Details

Sold May 8.40 put / Bought May 7.80 put Collected $850*

Trade Closing Details

Bought back the spread on 3/4/16 for $175 Paid $175*

Trade Result

Profit of $675*

Trade Commentary

As noted at the trade's inception is was a contrarian trade in which we were looking for the market, which had been near contract lows, to reverse the trend and head higher. Eventually this occurred and we were able to close the trade a month and a half before it expired, retaining most of the profit potential.

PROFIT

EURO CURRENCY*

September 25, 2015

Trade Opening Details

Sold December euro 1.08/1.15 strangle for $2,125*

Trade Closing Details

Bought back the 1.08 put on 10/14/15 for $160 Bought back the 1.15 call on 10/26/15 for $260 Paid $420*

Trade Result

Profit of $1705*

Trade Commentary

The idea behind this strangle was that the Euro would stay in a trading range. The Euro rallied for a few weeks and we bought back the put, when the market turned around we bought back the calls. Both sides of the trade were closed at a profit and were closed long before the expiration date.

PROFIT

S & P*

September 17, 2015

Trade Opening Details

Sold 2 November 2120 calls/Bought 2 2150 calls, Collected 3.10 Sold 3 November 1780 puts/Bought 3 1740 puts. Collected 3.60 Collect $4,250*

Trade Closing Details

Bought back call spreads on 9/24/15 for 1.0 Paid $500 Bought back put spreads on 10/9/15 for 2.1 Paid $1,575*

Trade Result

Profit of $2,175*

Trade Commentary

As noted at the trade inception this was a fairly neutral strategy designed to capture premium on both sides of the market after the volatility had increased in the previous weeks. A week after we entered the trade the market had fallen and we were able to take profit on the call. Due to the volatile market it made sense to close the trade well before the expiration date at advantageous times.

PROFIT

SILVER*

September 4, 2015

Trade Opening Details

Ratio write Buy 1 March 13.25 put and sell 4 March 12.25 puts for $1,000 credit*

Trade Closing Details

On 2/24/16 all options expired worthless.*

Trade Result

Profit of $1,000*

Trade Commentary

The ratio requires less margin than just selling the same amount of naked options. However, the big "score" results when at option expiration the market is between the long and short positions.

PROFIT

Gold*

July 22, 2015

Trade Opening Details

Sold 4 December 900 puts for $2,580*

Trade Closing Details

Expired worthless on 11/24/15.*

Trade Result

Profit of $2,580*

Trade Commentary

Gold never got within $100 of the strike price.

LOSS

Canadian Dollar*

June 30, 2015

Trade Opening Details

Sold 3 December 76 puts for $1,680*

Trade Closing Details

Option contract expired on 12/4/15 at 74.75*

Trade Result

Loss of $2,070*

Trade Commentary

During the life of the trade, calls were written and futures were employed for a much better result.

*EXCLUDING COMMISSIONS AND FEES. COMMISSIONS VARY DEPENDING ON TYPE OF ACCOUNT, FREQUENCY OF TRADING AND ACCOUNT SIZE AND OTHER FACTORS. TRADING COMMODITY OPTIONS IS SPECULATIVE, INVOLVES RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS. USE RISK CAPITAL ONLY. PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.

Trader’s Edge is a registered commodity brokerage firm located in Madison, NJ. Our in house professionals have an average of over 24 years of industry experience.

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