Friday, October 16, 2020

2020年10月號 -- 月月派息系列 (GGM / GOF / PTY / PDI)

10月太忙, 又有點懶

拖到10月中才出月月派息系列, 真的有點過份

4隻都已經過了除淨日


Guggenheim Credit Allocation Fund (GGM) 

GGM declares $0.1813/share monthly dividend, in line with previous.

Forward yield 12.19%

Payable Oct. 30; for shareholders of record Oct. 15; ex-div Oct. 14.


Guggenheim Strategic Opportunities Fund (GOF) 

GOF declares $0.1821/share monthly dividend, in line with previous.

Forward yield 12.23%

Payable Oct. 30; for shareholders of record Oct. 15; ex-div Oct. 14.


PIMCO Corporate & Income Opportunity Fund (PTY)

PTY declares $0.13/share monthly dividend, in line with previous.

Forward yield 9.64%

Payable Nov. 2; for shareholders of record Oct. 13; ex-div Oct. 9.


PIMCO Dynamic Income Fund (PDI)

PDI declares $0.2205/share monthly dividend, in line with previous.

Forward yield 10.43%

Payable Nov. 2; for shareholders of record Oct. 13; ex-div Oct. 9.


另外, PDI 在10月5日公佈將會以次級方式配售3M股份,配售45萬股


PIMCO Dynamic Income Fund to sell 3M shares
Oct. 5, 2020 4:27 PM ET|About: PIMCO Dynamic Income Fund (PDI)|By: Kim Khan, SA News Editor 
PIMCO Dynamic Income Fund (NYSE:PDI) is raising cash to invest with a common stock offering.
The closed-end fixed income fund will offer 3M shares in a secondary, with an overallotment of 450K.
"The proceeds of the offering will be invested in accordance with the Fund’s investment objectives," the company says.
Morgan Stanley, UBS and RBC are joint bookrunners. Janney Montgomery Scott, JonesTrading and Wedbush are co-managers.
Shares are -1.8% postmarket.
PDI has underperformed the S&P since March, when the pandemic led to a huge selloff in equities and bonds.
"PDI is made up heavily of riskier assets than a traditional bond fund," Dividend Seeker wrote on Seeking Alpha in August. "About two-thirds of its holdings are in either the non-agency MBS or high yield credit sectors, which explains the volatile nature of the fund when economic conditions deteriorate."

2020年9月期權倉

到了10月中, 才發現9月還沒有更新期權倉

近來實在太懶更近這個BLOG 了

9月中美股大跌時, SP 蝕了不少, 

現在回想, 當時實在太保守了

明明是夠錢接貨, 目標價也是低位

應該接貨等回升, 而不應該全部平倉


幸好, 在低位平晒所有SP 時入了不少貨

不停做SC 的回報也不錯

暫時, 還剩下一隻FB 還未出貨

其他都己被SC CALL 走了


FSLY 是第一隻被SC 到價CALL 走, 

被CALL 走後股價急升, 

還令我心傷了好一陣

不過昨天一天便打回原型

暫時呢隻唔太稳定

唔會入住


因手上不少貨被CALL 走 

本來諗住昨天跌巿, 看看有沒有機會入返D 再做SC

但下半場己回升

沒執到平貨





Wednesday, September 23, 2020

IB 用家注意~ IB 收緊 Initial Margin & Maintain Margin

今日收到IB 電郵, 話因為美國大選臨近, 美股有機會大波動, 所以會收緊期權既MARGIN

不過, IB 沒有特別說明以下Initial Margin & Maintain Margin 收緊是只限期權, 還是所有產品:

initial margin : 50% --> 67.5%

Maintain Margin : 25% --> 33.75%

而最後一後有寫all products 都有可能提高Margin 直至美國大選完結

所以各位要小心




Sunday, September 20, 2020

動盪巿下, Short QQQ + SP QQQ & 撈低科技股 + covered SC

9 月一開始, 股巿就下跌

暫時, 仲未知係回調定仲會再跌

不過, 過去一星期雖然跌, 但又未去到跌好多

至少, 唔係3月人踩人, 乜都跌

除科技股比較跌得多之外,

收息類無乜起跌

VIX 亦唔見得大升好多

應該, 只是中期回調?? 

唔識估, 亦唔想估, 安安全全平平安安就好


咁既情況下, 少D 動作比較安全, 所以SP 都好小心

9月初清左大部份倉之後

SHORT QQQ, SP 昨天到期的262 QQQ, 

昨天平倉後, SHORT 下星期五QQQ 251

Short QQQ 己SET 止蝕, 萬一QQQ 回升, 就自動平倉


以上做法, 直到下星期五, 有3個可能性

1) QQQ 大跌, 如跌破251, 

A) 我的SHORT QQQ 賺錢

B) SP QQQ 251 會幫我把SHORT QQQ 平倉

C) SP QQQ 權金全袋


B) QQQ 沒有升破止蝕位, 但亦沒有跌破251

A) SHORT QQQ 無乜賺蝕

B) SP QQQ 權金全袋


C) QQQ 升破止蝕位

A) SHORT QQQ 蝕 (帳面大約蝕2%)

B) SP QQQ 權金全袋

雖然SHORT QQQ 蝕, 不過袋左權金, 而且SET 左止蝕位, 蝕都只係有限數


以上3個可能性, 只有股全巿面回升才會蝕有限數, 值博率高

若QQQ 在下星期窄幅上落, 下星期五我又可以做再SP, 把QQQ 的蝕本門再做得更好

而為免股巿只是回調, 而不是大跌

我又在星期四見股巿跌, 入左幾隻科技股

AAPL, FB, FSLY, SE, TSM

買入後, 即時做星期五的SC

結果, 星期五股巿反覆, 無大跌, 亦無大升, 星期五平晒所有SC, 再開下星期SC

AAPL 和FB 表現比較差, 扣埋SC 權金, 仲蝕緊錢...

FSLY, SE & TSM 表現比較好, 昨天中段仲有升少少, 雖然尾段跌返, 但加埋SC 權金都唔錯


下星期個巿係點, 好難估


不過, 如果股巿跌, 咁我既SHORT QQQ 就會賺... 科技股蝕, 但SC 又可以全袋, 蝕極都有限

(如果科技股下星期再大跌, 我會平晒所有科技股倉, 再平晒SC)

如果股升, 咁SHORT QQQ 就蝕, 不過科技股會賺, 己SET QQQ 止蝕, 計埋, 應該都會賺, 如果SC 科技股全部中晒SC 價, 我好樂意出貨, 再做返SP....

唔怕SC 被CALL 後爆升??

總有機會跌返, 同埋, 總有機會買其他股, 賺左先算


如果股巿唔大升又唔大跌, 

咁我就可以把SP 和SC 都淨袋, 再做多一星期既SP & SC


經過今年股升爆升爆跌, 我只想安安全全賺少少就好了....




Friday, September 4, 2020

2020年9月號 -- 月月派息系列又公佈派息了 (GGM / GOF / PTY / PDI)

2020年9月號 -- 月月派息系列又公佈派息了 (GGM / GOF / PTY / PDI)

每個月都一樣的派息,
沒有驚喜
好彩, 都無失望


Guggenheim Credit Allocation Fund (GGM) 
GGM declares $0.18131/share monthly dividend, in line with previous.
Forward yield 11.91%
Payable Sept. 30; for shareholders of record Sept. 15; ex-div Sept. 14.

Guggenheim Strategic Opportunities Fund (GOF)
GOF declares $0.18211/share monthly dividend, in line with previous.
Forward yield 12.05%
Payable Sept. 30; for shareholders of record Sept. 15; ex-div Sept. 14.

PIMCO Corporate&Income Opportunity Fund (PTY)
PTY declares $0.13/share quarterly dividend, in line with previous.
Forward yield 9.61%
Payable Oct. 1; for shareholders of record Sept. 11; ex-div Sept. 10.

PIMCO Dynamic Income Fund declares (PDI)
PDI declares $0.2205/share monthly dividend, in line with previous.
Forward yield 10.76%
Payable Oct. 1; for shareholders of record Sept. 11; ex-div Sept. 10.




另外, 觀察一下PFL PIMCO Income Strategy Fund

PIMCO Income Strategy Fund (PFL)
PFL declares $0.09/share monthly dividend, in line with previous.
Forward yield 10.63%
Payable Oct. 1; for shareholders of record Sept. 11; ex-div Sept. 10.

息口唔錯, 亦都係月月派息, 每月派0.09 己經有好幾年




Tuesday, September 1, 2020

2020年8月下旬期權倉

又到了9月,又是總結一下8月成績的時候。

8月的成績,不過不失。其實由4月至今,期權的收入每月都是差不多。

8月初接了DDOG 後,在88.XX 時放了部份持股, 現在仍持有2/3左右,看看有沒有機會升上去。暫時,都是維持升上90後慢慢減持。




Tuesday, August 18, 2020

2020年8月上半旬期權倉

 8月頭接了DDOG, 扣除之前SP 的權金, 實制成本大約是$79

(心水清的話, 應該有留意到, 除了8月4開倉的$81 SP, 還有7月31開倉的$84 & $80)

因為接左唔少DDOG, 而現在價位又未到我諗住賣的價錢

8/17 現價為$83.41, 我希望可以升到超過$90 分段賣出

所以8月的可用資金少左, 期權倉都一樣做少左

P.S. 做SP 重點: 1) 有錢接貨, 2) 不怕接貨(當然要是優質股), 3) 選有回彈力的股票

若股票下跌速度快, 覺得短期內不可能回竹升, 最好先止蝕平倉, 不是什麼股都適合接貨等回升, 

又或者當整體股巿向下時, 平倉, 等待更適合時間更好

今日 (8/17) 見大巿升得比較好, 先把大部份8/21 到期的期權先平倉獲利

尤其8/14 開倉的SE, 只隔了一個weekend 己回報不錯

再尋找機會開新倉