Monday, April 18, 2016

Apr 2016

Dividends received:
1Apr- KO - $1.60 ($1.12 received and Drips)
11Apr - MO - $1.60 ($1.12 received and Drips)

Options Selling :
Sell 2 KO May16 45 PUT - $0.50 x 200 shares = $100
Sell 1 XLP May16 52 PUT - $0.41 x 100 shares = $41
Sell 1 CL May16 69.5 CALL - $1.02 x 100 shares = $102
Sell 1 PG May16 84.5 CALL - $0.58 X 100 shares = $58

Total Option Income for Apr is $301.

Portfolio:
Name dividend yield shares dividends
CL 1.56 101.60 158.50
KO 1.40 204.59 286.43
MO 2.26 2.86 6.46
PG 2.65 102.40 271.36
VALE 0.10 816.69 81.67
WBA 1.44 100.62 144.89
XLP 1.25 100.00 125.00
XOM 2.92 102.62 299.65
Annual Dividends 1373.96

This works out to be $1373.96 annual dividends which is 2.18% yield of capital outlay ($63000).

Sunday, March 27, 2016

Mar 2016

Dividends received:
10Mar- XOM - $74.45 ($52.12 received and Drips)
11Mar - WBA - $36.11 ($25.28 received and Drips)


Options Selling :
Sell 1 KO Apr16 45 PUT - $0.34 x 100 shares = $34
Sell 1 XLP Apr16 52 PUT - $0.32 x 100 shares = $32
Sell 1 CL Apr16 69.5 PUT - $0.59 x 100 shares = $59

Total Option Income for Mar is $125.

Came across this ticker XLP (consumer staples select sector etf). Consist of Strong Brand name consumer product which is similar to what i had in my portfolio. Since it is a defensive etf which aligns with my investment philosophy, I will be including that to my portfolio if i cant find any stocks to buy when their price are high.

Portfolio Value : $50385.85 (31Mar2016) +5.63%
Total Capital Outlay: $63000.


Portfolio








Name dividend yield shares dividends
CL 1.56 101.60 158.50
KO 1.40 104.57 146.40
MO 2.26 2.84 6.42
PG 2.65 102.40 271.36
VALE 0.10 816.69 81.67
WBA 1.44 100.62 144.89
XLP 1.25 100.00 125.00
XOM 2.92 102.62 299.65
Annual Dividends 1233.88


This works out to be $1233.88 annual dividends which is 1.95% yield of capital outlay ($63000).

Tuesday, February 23, 2016

Feb2016

Dividends received:
16Feb- CL - $38.45 ($26.92 received and Drips)
16Feb- PG- $67.50 ($47.25 received and Drips)


Sell 1 KO Mar16 43 PUT - $0.43 x 100 shares = $43
Sell 2 KO Mar16 44 CALL - $0.51 x 200 shares = $102
Sell  1  CL Mar16 69.5 CALL - $0.73 x 100 shares = $73

Total Option Income for Feb is $218.

Annual Dividend Projection
VALE-$0.18 x 816.69shares = $147.00
KO-$1.40 x 304.57shares = $426.39
XOM-$2.92 x 101.98 shares = $297.78
MO-$2.26 x 2.84 shares = $6.41
CL-$1.52 x 101.60 shares = $154.43
PG-$2.65 x 102.40shares = $271.36
WBA-$1.44 x 100.31 shares = $144.44
This works out to be $1447.81 annual dividends which is 2.29% yield of capital outlay

Tuesday, January 26, 2016

Jan2016

Dividends received:
11Jan- MO - $1.59 ($1.12 received)
Thru drips, it bought me 0.019 shares at $58.68.

Sell 1 KO Feb16 41 PUT - $0.75 x 100 share = $75

Total Option Income for Jan is $75

Annual Dividend Projection
VALE-$0.18 x 816.69shares = $147.004
KO-$1.32 x 304.57shares = $402.032
XOM-$2.92 x 101.98 shares = $297.781
MO-$2.26 x 2.84 shares = $6.418
CL-$1.52 x 101.20 shares = $153.824
PG-$2.65 x 101.82 shares = $269.823
WBA-$1.44 x 100.31 shares = $144.446
This works out to be $1421.328.4annual dividends which is 2.25% yield of capital outlay

Friday, January 1, 2016

Summary for 2015

Total Dividend Received: $885.95
Total Options Premium Collected : $2441.21
So that work out to be $3327.16. ($4291.42 Year2014) meaning I generated less income for Year2015.

Seems like a not so good year for my portfolio as ESI, VALE, ARO stock plunge until its less than $3. So I've sold ESI and ARO to divert it to VALE hopefully in 10 Years time it will be able to reach a price level where it will be breakeven.

Overall My portfolio is still in a loss of about $15300. Im targeting it should be able to breakeven within 5 years time with the amount of Options and Dividend collected.


Portfolio Value : $47699.09 (31Dec2015)
Total Capital Outlay: $63000.

Annual Dividend Projection
VALE-$0.18 x 816.69shares = $147.004
KO-$1.32 x 204.57shares = $270.032
XOM-$2.92 x 101.98 shares = $297.781
MO-$2.26 x 2.82 shares = $6.373
CL-$1.52 x 101.20 shares = $153.824
PG-$2.65 x 101.82 shares = $269.823
WBA-$1.44 x 100.31 shares = $144.446
This works out to be $1289.283.4annual dividends which is 2.04% yield of capital outlay

Wednesday, December 23, 2015

Dec2015

Dividends Received:
10Dec- XOM - $73.95 ($51.77 received)
Thru Drips, it bought me 0.682 shares at $75.80.

11Dec- WBA - $36 ($25.20 received)
Thru Drips, it bought me 0.307 shares at $82.08.

12Dec- KO - $67.15 ($47.01 received)
Thru Drips, it bought me 1.097 shares at $42.84

Options:
Sell 2 KO 44 Jan16 Call-$0.37 x 200shares=$74
Sell 1 WBA 88.5 Jan16 Call-$1.62 x 100shares=$162

Total options Income for Dec15 is $236.


Annual Dividend Projection
VALE-$0.18 x 816.69shares = $147.004
KO-$1.32 x 204.57shares = $270.032
XOM-$2.92 x 101.98 shares = $297.781
MO-$2.26 x 2.82 shares = $6.373
CL-$1.52 x 101.20 shares = $153.824
PG-$2.65 x 101.82 shares = $269.823
WBA-$1.44 x 100.31 shares = $144.446
This works out to be $1289.283.4annual dividends which is 2.04% yield of capital outlay.

Monday, November 23, 2015

Nov2015

I think My Title is abit misleading. Initially the monthly header is the month of the Options Im selling. Now I shall changed it to the exact month of the year. So today it will be NOV2015.

9Nov-Vale paid dividends $37.17. There's no withholding tax for this company.
Thru Drips, It bought me 9.043 shares at $4.11.

16Nov-PG paid dividends $67.08 ($46.96 received)
Thru Drips, it bought me  0.632 shares at $74.25.

16Nov- CL paid dividends $38.30 ($26.81 received)
Thru Drips, It bought me 0.415 shares at $64.60.

Sell 1 KO Dec15 42 Put - $0.48 x 100 share = $48

Total Options Income for Nov is $48.

Annual Dividend Projection
VALE-$0.18 x 816.69shares = $147.004
KO-$1.32 x 303.47 shares = $400.580
XOM-$2.92 x 101.30 shares = $295.796
MO-$2.26 x 2.82 shares = $6.373
CL-$1.52 x 101.20 shares = $153.824
PG-$2.65 x 101.82 shares = $269.823
WBA-$1.44 x 100 shares = $144
This works out to be $1417.4annual dividends which is 2.25% yield of capital outlay.