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mannken First time !
Better to wait till .02 ...
Just thinking out loud .
Hmmm this looks worse by the day ?
AT&T admits it made a terrible mistake getting into media business with Discovery deal: analyst
https://www.yahoo.com/finance/news/att-admits-it-made-a-terrible-mistake-getting-into-media-business-with-discovery-deal-analyst-175502999.html
Timber !! well didn't see this one coming 50% cut in dividend will crush T Back in the 20's it will go.
Haven't been selling put premium since the earnings and it broke into the 30's. Could easily see this back near 26.
Not good for Longs...
Look out Below!
AT&T said its dividend payout ratio, which was around 63% in the previous quarter, will be "re-sized" to account for the distribution of WarnerMedia assets into a new company. The remaining AT&T assets will aim to give shareholders a dividend payout ratio of between 40% and 43%, the company said, based on anticipated free cash flow of around $20 billion.
F having a happy Hair day today! Looking for a close above 12 come Friday pay day! sold the 12 dollar puts last Friday and got .33!
with the latest news 1-2 dollars will settle than wait for future earnings?? Other than that your guess is as good as mine?
cheers and enjoy the ride!
WBA is Happy the March back to 90 is ON!
T Rip Roaring the March to 40 is ON !!!
good move! Gentlemen start your engines! We're off to the races...
logical/possible anything is possible but highly unlikely IMHO? F will shine again!
cheers and Happy Trading !
F: Ford Motor: Gem Of An Opportunity Hidden In Plain Sight
Cheers!
The wheel strategy is a ATM Cash machine! Just have to make sure you only trade stocks you would be very happy to own at the strike price you choose!
Cheers mate and happy trading!
are you kidding me? MGI only trades monthly options . Collecting .18 on 10 contracts is 180 per week that is $9,360 per year on a 12K cash commitment.
Even if you make .10 it is 50% per year. The dividend was only .15 per quarter. I love selling premium on F.
I also sell Premium on TQQQ and have banked 75 dollars over the last year on 4 contracts of weeklies!
Happy trading!
Newbie have you considered selling Option Premium? I have been earning on average .18 cents a week.
In the last 2 months I have banked 1.65 in option premium at the 12 dollar strike and never took assignment.
If you are long shares you can sell calls and if you get called away you can turn around and sell cash secured puts.
It's called the wheel strategy round and round we go!
I'll Take it! I am more worried about my 32 dollar shares I picked up last year!
The 2 dollar divy has remained intact and steady...
Great week for F Nice close at 11.80 The March to 15 + is on!
Have a great weekend traders...
Icahn Enterprises (NASDAQ:IEP): Q1 GAAP EPS of $0.65 beats by $0.66.
Revenue of $2.22B (+19.4% Y/Y) misses by $280M.
For the quarter ended March 31, 2021, indicative net asset value increased by $668 million to $4.22 billion compared to $3.55 billion as of December 31, 2020.
Icahn Enterprises (NASDAQ:IEP) declares $2.00/share quarterly dividend, in line with previous.
Forward yield 13.9%
Payable June 30; for shareholders of record June 1; ex-div May 31.
Icahn Enterprises (NASDAQ:IEP) declares $2.00/share quarterly dividend, in line with previous.
Forward yield 13.9%
Payable June 30; for shareholders of record June 1; ex-div May 31.
Icahn Enterprises (NASDAQ:IEP) declares $2.00/share quarterly dividend, in line with previous.
Forward yield 13.9%
Payable June 30; for shareholders of record June 1; ex-div May 31.
I am looking to buy mine back as I have .52 profit in the 20 contracts I sold. I might roll forward one week if the credit is worth it?
F Has been good to me the last 6 weeks nearly 2.00 credit received in the last 2 month!
I keep telling you better to sell the 12 dollar puts. Right now you can fetch .70 on the Puts on the 3/14 expiration.
Selling puts is a long position same as buying the calls.
easy I have been selling the 12 put on the weeklies for the last 5 weeks. I was following the earnings premium increase and when it fell I swooped in.
I might take assignment this friday and turn around and sell calls. 12 dollars seems to be a nice support line for now.
I think the chip shortage will sort itself out and the March to 15 will continue later this year...
Better off selling 5/7 $12 puts I got .78 on the over sold earnings dip myself!
DCP Midstream (NYSE:DCP) had declared $0.39/share quarterly dividend, in line with previous.
Payable May 14; for shareholders of record April 30; ex-div April 29.
The only thing 'Short' in PTOI is the Production of Plastic to OIL!
My Lawnmower ran out Plastic to oil fuel 6 Years ago. Still waiting for a refill grass is getting long!
Exelon (NASDAQ:EXC) declares $0.3825/share quarterly dividend, in line with previous.
Forward yield 3.43%
Payable June 10; for shareholders of record May 14; ex-div May 13.
Exelon (NASDAQ:EXC) declares $0.3825/share quarterly dividend, in line with previous.
Forward yield 3.43%
Payable June 10; for shareholders of record May 14; ex-div May 13.
Summary
Aviation is in a tough spot - everyone knows that. However, Raytheon is doing well despite its headwinds and just raised full-year guidance.
The company is seeing higher demand in its commercial aviation-focused segments and will be able to further raise dividends and buybacks going forward.
My plan is to keep adding to Raytheon as I expect the stock (and its peers) to outperform the S&P 500 soon.
Raytheon: Keep Accumulating And Never Sell
IBM (NYSE:IBM) declares $1.64/share quarterly dividend, 0.6% increase from prior dividend of $1.63.
Forward yield 4.63%
Payable June 10; for shareholders of record May 10; ex-div May 7.
IBM (NYSE:IBM) declares $1.64/share quarterly dividend, 0.6% increase from prior dividend of $1.63.
Forward yield 4.63%
Payable June 10; for shareholders of record May 10; ex-div May 7.
IBM (NYSE:IBM) declares $1.64/share quarterly dividend, 0.6% increase from prior dividend of $1.63.
Forward yield 4.63%
Payable June 10; for shareholders of record May 10; ex-div May 7.
Ya Raytheon.. Great earnings up 2 dollars pre market looks like my put will retire worthless!
You guys keep giving me winners!
---'The US stock market has seen better returns in Joe Biden's first 100 days than under any president in the last 75 years'---
https://markets.businessinsider.com/news/stocks/stock-market-performance-president-biden-100-days-best-75-years-2021-4-1030346645?utm_campaign=browser_notification&utm_source=desktop
The S&P 500 has posted better returns in President Biden's first 100 days than under any previous president since World War II.
OK double nice I just sold 1 Put contract on the 79 strike for May 7 expiration for .55 just a hair over the dividend of .51 so the worst thing that can happen is I will own 100 shares at 79 keep the premium and still collect the dividend!
Earnings tomorrow so I may just buy them back and bank the money.
again I can't stop laughing I believe some where along that flat line they did manage to fire up a Lawn mover!
LOL I just chocked on my Beer!
Sunoco LP (NYSE:SUN) declares $0.8255/share quarterly dividend, in line with previous.
Forward yield 9.81%
Payable May 19; for shareholders of record May 11; ex-div May 10.
Sunoco LP (NYSE:SUN) declares $0.8255/share quarterly dividend, in line with previous.
Forward yield 9.81%
Payable May 19; for shareholders of record May 11; ex-div May 10.
Plastic2Oil Inc (PK) (PTOI)
0.022 ? -0.001 (-4.35%)
Volume: 21,240