PM.NYSE — PM.NYSE.summaryRealTrading_98_0.2_17

Trades: 26
Total Profit: 1,051.50
Profit Factor: 4.05
Sharpe: 0.61
Max DD: 108.00
WinRate %: 0.00
AvgWin: 73.47
AvgLoss: -49.21
NAV: 11,051.50
Commission: 52.00
Equity Line (cumulata di Outcome)
Date Close Contracts Qty Strike Sold Strike Bought Premium Outcome Under @ Exp
2008-10-09 2008-10-27
PM090117P00025000
PM090117P00030000
2 30.00 25.00 0.825 25.000 42.12
2008-12-10 2008-12-29
PM090321P00025000
PM090321P00030000
2 30.00 25.00 0.55 70.000 38.36
2009-06-10 2009-06-29
PM090919P00037000
PM090919P00038000
12 38.00 37.00 0.175 30.000 48.18
2014-12-15 2015-01-02
PM150320P00072500
PM150320P00075000
4 75.00 72.50 0.410 56.000 79.45
2016-06-13 2016-06-30
PM160916P00087500
PM160916P00090000
4 90.00 87.50 0.355 94.000 98.84
2018-06-12 2018-06-29
PM180921P00070000
PM180921P00072500
4 72.50 70.00 0.410 40.000 83.75
2018-10-11 2018-10-29
PM190118P00070000
PM190118P00072500
4 72.50 70.00 0.425 138.000 73.79
2019-03-12 2019-03-29
PM190621P00077500
PM190621P00080000
4 80.00 77.50 0.41 16.00 79.22
2019-10-09 2019-10-28
PM200117P00065000
PM200117P00067500
4 67.50 65.00 0.370 108.000 88.69
2020-03-11 2020-03-30
PM200619P00062500
PM200619P00065000
4 65.00 62.50 0.450 240.000 72.2
2020-06-10 2020-06-29
PM200918P00062500
PM200918P00065000
4 65.00 62.50 0.425 -64.000 78.08
2020-09-08 2020-09-25
PM201218P00065000
PM201218P00067500
4 67.50 65.00 0.410 16.000 86.09
2020-10-08 2020-10-26
PM210115P00065000
PM210115P00067500
4 67.50 65.00 0.430 -54.000 80.94
2020-12-08 2020-12-28
PM210319P00070000
PM210319P00072500
4 72.50 70.00 0.470 70.000 89.25
2021-03-09 2021-03-26
PM210618P00072500
PM210618P00075000
4 75.00 72.50 0.475 66.000 99.5
2021-06-14 2021-07-01
PM210917P00087500
PM210917P00090000
4 90.00 87.50 0.375 128.000 101.86
2021-10-14 2021-11-01
PM220121P00085000
PM220121P00087500
5 87.50 85.00 0.500 -32.500 102.92
2022-03-09 2022-03-28
PM220617P00077500
PM220617P00080000
4 80.00 77.50 0.385 72.000 97.95
2022-06-10 2022-06-27
PM220916P00087500
PM220916P00090000
4 90.00 87.50 0.425 40.000 95.56
2022-10-13 2022-10-31
PM230120P00072500
PM230120P00075000
4 75.00 72.50 0.425 100.000 101.82
2023-03-09 2023-03-27
PM230616P00087500
PM230616P00090000
4 90.00 87.50 0.425 -80.000 94.89
2023-10-16 2023-11-02
PM240119P00082500
PM240119P00085000
4 85.00 82.50 0.400 -10.000 92.32
2024-09-12 2024-09-30
PM241220P00105000
PM241220P00110000
2 110.00 105.00 0.675 45.000 124.22
2024-12-13 2024-12-30
PM250321P00110000
PM250321P00115000
2 115.00 110.00 1.000 -25.000 151.48
2025-06-10 2025-06-27
PM250919P00155000
PM250919P00160000
2 160.00 155.00 0.85 80.00 0
2025-07-08 2025-07-25
PM251017P00150000
PM251017P00155000
2 155.00 150.00 1.175 -65.000 0