Suckers Buy Options, Pros Collect The Premium
1. About Us
-Why We Trade Option Credit Spreads
- How we Pick The Trades
- How we Profit $$$
2. Past Performance
3. What Options We Trade
4. Our Recent Wins
About Us
WWW.CREDITSPREADMILLIONAIRE.COM
We have over 10 years experience trading various strategies. Options credit spread trading is a often overlooked strategy by most investors and traders. That's why we created this site, to share our option picks with you, and help you on your path to becoming a better trader.
Weekly Options Picks- posted every Sunday before the week begins.
Monthly Option Picks- posted around the first week of the month.
Premium members will receive live text alerts within minutes of our trades.
Why Trade Credit Spreads
- It is short term - trades are typically less than 30 days in duration, and take advantage of short term trends in the market.
- It is low risk - trades have a better than 90% of success - always. You know exactly what the risk, return and profit will be before you enter a trade.
- Profit is up front - a trader gets his profit immediately, and only needs to protect that profit for a short period.
- Market fluctuations are mostly irrelevant. The market can continue its trend, stagnate, or even turn against you to a certain extent, and your profit is completely safe and untouchable.
- Simple technical analysis - other options trading strategies (and stock trading) require intense fundamental and technical analysis, significant understanding of the market, and the ability to "beat the news". Selling Credit spreads needs a very simple trend analysis procedure, which should not take longer than 10 minutes a day, and the ability to plan for upcoming events such as earnings reports.
- Time spent in monitoring the trade is very low;
- Profits range between 5% and 20% per month, depending on how actively the spreads are traded. Compounded, this leads to significant growth in a profile. Starting with $1,000 and gaining a steady but sure 15% per month, you can get your first million dollars in four years.
How We Pick The Trades
We pick both weekly spreads and monthly spreads, our picks have a 70-90% chance of winning. We do trend anaylsis, study trend indicators and moving averages. Trading credit spreads isnt about scoring big in 1 trade, a good trader can grow his portfolio from 1k to 1 million in 4 years just trading monthlys. Once we get our premium we dont give it back!
How We Profit
With credit spreads you collect the premium right away, you basically want your options to expire out of the money.
Profit from time decaly, just sit back and relax.
Call spread, profit from a drop in the stock price.
Put spread, profit from a rise in the stock price.
Profit even if the stock option spread expires .01$ out of the money.
Our 2011 Performance
35/39 Win---- 1 Break even not shown
= Loss
Start | Actual | 1,000.00 | Goal | 1,000.00 | |
Week 1 | | 1,018.44 | | 1,200.00 | 2/22/2011 |
Week 2 | | 1,232.13 | | 1,440.00 | 3/1/2011 |
Week 3 | | 1,456.55 | | 1,728.00 | 3/8/2011 |
Week 4 | | 1,759.86 | | 2,073.60 | 3/15/2011 |
Week 5 | | 2,111.84 | | 2,488.32 | 3/22/2011 |
Week 6 | | 2,654.20 | | 2,985.98 | 3/29/2011 |
Week 7 | | 3,341.05 | | 3,583.18 | 4/5/2011 |
Week 8 | | 3,108.25 | | 4,299.82 | 4/12/2011 |
Week 9 | | 4,379.11 | | 5,159.78 | 4/19/2011 |
Week 10 | | 5,254.93 | | 6,191.74 | 4/26/2011 |
Week 11 | | 6,305.91 | | 7,430.08 | 5/3/2011 |
Week 12 | | 7,687.09 | | 8,916.10 | 5/10/2011 |
Week 13 | | 9,065.51 | | 10,699.32 | 5/17/2011 |
Week 14 | | 10,896.62 | | 12,839.18 | 5/24/2011 |
Week 15 | | 13,135.94 | | 15,407.02 | 5/31/2011 |
Week 16 | | 15,640.13 | | 18,488.43 | 6/7/2011 |
Week 17 | | 18,829.35 | | 22,186.11 | 6/14/2011 |
Week 18 | | 26,535.22 | | 26,623.33 | 6/21/2011 |
Week 19 | | 25,114.27 | | 31,948.00 | 6/28/2011 |
Week 20 | | 32,537.12 | | 38,337.60 | 7/5/2011 |
Week 21 | | 44,034.55 | | 46,005.12 | 7/12/2011 |
Week 22 | | 46,853.45 | | 55,206.14 | 7/19/2011 |
Week 23 | | 56,224.15 | | 66,247.37 | 7/26/2011 |
Week 24 | | 68,468.97 | | 79,496.85 | 8/2/2011 |
Week 25 | | 84,932.77 | | 95,396.22 | 8/9/2011 |
Week 26 | | 97,155.32 | | 114,475.46 | 8/16/2011 |
Week 27 | | 126,556.39 | | 137,370.55 | 8/23/2011 |
Week 28 | | 173,903.66 | | 164,844.66 | 8/30/2011 |
Week 29 | | 167,884.40 | | 197,813.59 | 9/6/2011 |
Week 30 | | 201,461.28 | | 237,376.31 | 9/13/2011 |
Week 31 | | 241,753.53 | | 284,851.58 | 9/20/2011 |
Week 32 | | 290,104.24 | | 341,821.89 | 9/27/2011 |
Week 33 | | 348,125.09 | | 410,186.27 | 10/4/2011 |
Week 34 | | 417,750.11 | | 492,223.52 | 10/11/2011 |
Week 35 | | 501,300.13 | | 590,668.23 | 10/18/2011 |
Week 36 | | 601,560.15 | | 708,801.87 | 10/25/2011 |
Week 37 | | 721,872.18 | | 850,562.25 | 11/1/2011 |
Week 38 | | 866,246.62 | | 1,020,674.70 | 11/8/2011 |
Week 39 | | 1,039,495.94 | | 1,224,809.64 | 11/15/2011 |
What We Trade
STOCKS AND INDICES WITH WEEKLY OPTIONS
VXX | XLB | XLE | XLF | XME | AA | AAPL | ABX | ACN | AET | AIG | AMRN |
BAX | BIDU | BMY | BP | BRKB | C | CAT | CF | CHK | CLF | CMG | COP |
JPM | KCG | KO | LNKD | LO | LULU | LVS | MA | MCD | MCP | MET | MGM |
FCX | FFIV | FMCN | FSLR | GE | GM | GMCR | GOOG | GPS | GRPN | GS | HAL |
AGQ | DIA | EEM | EFA | EWJ | EWZ | FAS | FAZ | FXE | FXI | GLD | GDX |
NTAP | NVDA | ORCL | OXY | PBR | PCLN | PCX | PFE | PG | POT | QCOM | QCOR |
STX | SU | T | TXN | UNH | UNP | UTX | V | VHC | VZ | WDC | WFC |
AMZN | ANF | ANR | APA | APC | APKT | APOL | ARNA | AXP | BA | BAC | |
CSCO | CREE | CRM | CVX | DE | DELL | DMND | DNDN | EMC | F | FB | |
MMM | MMR | MOS | MRVL | MS | MSFT | MU | NAV | NEM | NFLX | NKE | |
HD | HLF | HPQ | IBM | IDCC | INTC | IOC | JCP | JNJ | JOY | UNG | |
IWM | QQQ | SDS | SLV | SPY | SSO | TBT | TLT | TNA | TZA | USO | |
RIG | RIMM | S | SBUX | SHLD | SINA | SLB | SLW | SNDK | NOK | | |
WLT | WMB | WMT | WYNN | X | XOM | YHOO | YOKU | ZNGA | | | |
Recent Winners For 2013 ----- CHECK OUT OUR WEBSITE FOR MORE
CAT - 97.5 / 95 Call Credit Spread, limit .79 +79$ per contract
AAPL 435 / 440 Put Spread limit 1.40 +140$ per contract
FSLR Mar 26 / 23.5 Put .50 spread
SLV Apr wk1 27.5/25.5 Put .46 spread

