ZTS.NYSE — ZTS.NYSE.summaryRealTrading_119_0.5_117

Trades: 24
Total Profit: 4,539.50
Profit Factor: 1.91
Sharpe: 0.28
Max DD: 1,459.00
WinRate %: 0.00
AvgWin: 560.94
AvgLoss: -713.79
NAV: 14,539.50
Commission: 48.00
Equity Line (cumulata di Outcome)
Date Close Contracts Qty Strike Sold Strike Bought Premium Outcome Under @ Exp
2013-06-20 2013-10-15
ZTS131019P00025000
ZTS131019P00030000
3 30.00 25.00 1.70 510.000 33.22
2013-12-18 2014-04-14
ZTS140419P00031000
ZTS140419P00032000
16 32.00 31.00 0.375 -1000.000 28.6
2014-06-18 2014-10-13
ZTS141018P00032000
ZTS141018P00033000
17 33.00 32.00 0.425 722.500 35.37
2014-12-16 2015-04-13
ZTS150417P00040000
ZTS150417P00041000
15 41.00 40.00 0.350 525.000 46.77
2015-09-16 2016-01-11
ZTS160115P00044000
ZTS160115P00045000
19 45.00 44.00 0.475 47.500 43.38
2016-03-15 2016-07-11
ZTS160715P00040000
ZTS160715P00041000
16 41.00 40.00 0.40 640.000 49.68
2016-09-20 2017-01-17
ZTS170120P00049000
ZTS170120P00050000
15 50.00 49.00 0.350 562.500 53.97
2017-03-21 2017-07-17
ZTS170721P00050000
ZTS170721P00052500
5 52.50 50.00 0.815 407.500 63.16
2017-09-19 2018-01-16
ZTS180119P00062500
ZTS180119P00065000
6 65.00 62.50 1.00 600.000 76.62
2018-03-20 2018-07-16
ZTS180720P00082500
ZTS180720P00085000
7 85.00 82.50 1.075 192.500 85.29
2018-09-18 2019-01-14
ZTS190118P00087500
ZTS190118P00090000
7 90.00 87.50 1.10 -787.500 84.59
2019-03-19 2019-07-15
ZTS190719P00097500
ZTS190719P00100000
6 100.00 97.50 1.00 600.00 114.09
2019-07-16 2019-11-11
ZTS191115P00110000
ZTS191115P00115000
3 115.00 110.00 2.25 555.000 117.92
2019-12-17 2020-04-13
ZTS200417P00120000
ZTS200417P00125000
3 125.00 120.00 1.70 -120.000 130.72
2020-06-16 2020-10-12
ZTS201016P00130000
ZTS201016P00135000
3 135.00 130.00 2.25 630.00 163.55
2020-12-15 2021-04-12
ZTS210416P00155000
ZTS210416P00160000
3 160.00 155.00 2.00 390.00 167.63
2021-06-17 2021-10-12
ZTS211015P00180000
ZTS211015P00185000
3 185.00 180.00 2.10 600.00 202.22
2021-12-13 2022-04-11
ZTS220414P00220000
ZTS220414P00230000
1 230.00 220.00 4.00 -555.00 187.3
2022-06-22 2022-10-17
ZTS221021P00160000
ZTS221021P00165000
3 165.00 160.00 2.05 -900.00 147.21
2022-12-20 2023-04-17
ZTS230421P00140000
ZTS230421P00145000
3 145.00 140.00 2.10 1305.00 176.88
2023-06-20 2023-10-16
ZTS231020P00165000
ZTS231020P00170000
3 170.00 165.00 2.20 547.500 167.09
2023-12-19 2024-04-15
ZTS240419P00195000
ZTS240419P00200000
3 200.00 195.00 2.25 -810.00 146.5
2024-06-18 2024-10-14
ZTS241018P00165000
ZTS241018P00170000
3 170.00 165.00 2.15 735.000 193.28
2024-12-17 2025-04-14
ZTS250417P00170000
ZTS250417P00175000
3 175.00 170.00 2.10 -810.00 148.67