ZTS.NYSE — ZTS.NYSE.summaryRealTrading_70_0.1_27

Trades: 24
Total Profit: 2,584.50
Profit Factor: 27.92
Sharpe: 0.91
Max DD: 57.00
WinRate %: 0.00
AvgWin: 127.64
AvgLoss: -32.00
NAV: 12,584.50
Commission: 48.00
Equity Line (cumulata di Outcome)
Date Close Contracts Qty Strike Sold Strike Bought Premium Outcome Under @ Exp
2015-02-03 2015-03-02
ZTS150417P00035000
ZTS150417P00036000
10 36.00 35.00 0.075 75.000 46.77
2015-05-07 2015-06-03
ZTS150717P00037000
ZTS150717P00038000
10 38.00 37.00 0.075 75.000 47.8
2015-08-04 2015-08-31
ZTS151016P00041000
ZTS151016P00042000
11 42.00 41.00 0.100 -55.000 43.93
2015-11-04 2015-12-01
ZTS160115P00037000
ZTS160115P00038000
11 38.00 37.00 0.100 82.500 43.38
2016-05-04 2016-05-31
ZTS160715P00039000
ZTS160715P00040000
11 40.00 39.00 0.10 110.000 49.68
2016-08-12 2016-09-08
ZTS161021P00043000
ZTS161021P00044000
10 44.00 43.00 0.075 50.000 50.94
2017-02-08 2017-03-07
ZTS170421P00046000
ZTS170421P00047000
11 47.00 46.00 0.10 55.000 54.19
2018-02-12 2018-03-12
ZTS180420P00057500
ZTS180420P00060000
4 60.00 57.50 0.20 70.000 85.45
2020-08-07 2020-09-03
ZTS201016P00125000
ZTS201016P00130000
2 130.00 125.00 0.40 100.00 163.55
2021-02-02 2021-03-01
ZTS210416P00125000
ZTS210416P00130000
2 130.00 125.00 0.450 0.000 167.63
2021-05-04 2021-06-01
ZTS210716P00140000
ZTS210716P00145000
2 145.00 140.00 0.425 460.000 199.68
2021-08-05 2021-09-01
ZTS211015P00170000
ZTS211015P00175000
2 175.00 170.00 0.700 165.000 202.22
2021-11-15 2021-12-13
ZTS220121P00175000
ZTS220121P00180000
2 180.00 175.00 0.525 5.000 200.33
2022-01-31 2022-02-28
ZTS220414P00140000
ZTS220414P00145000
2 145.00 140.00 0.50 125.000 187.3
2022-11-09 2022-12-06
ZTS230120P00095000
ZTS230120P00100000
2 100.00 95.00 0.575 75.000 163.81
2023-02-07 2023-03-06
ZTS230421P00130000
ZTS230421P00135000
2 135.00 130.00 0.775 -35.000 176.88
2023-05-11 2023-06-07
ZTS230721P00145000
ZTS230721P00150000
2 150.00 145.00 0.475 375.000 183.51
2023-11-08 2023-12-05
ZTS240119P00130000
ZTS240119P00135000
2 135.00 130.00 0.425 275.000 188.38
2024-05-13 2024-06-10
ZTS240719P00140000
ZTS240719P00145000
2 145.00 140.00 0.725 190.000 178.58
2024-06-10 2024-07-08
ZTS240816P00145000
ZTS240816P00150000
2 150.00 145.00 0.525 140.000 183.71
2024-09-06 2024-10-03
ZTS241115P00155000
ZTS241115P00160000
2 160.00 155.00 0.40 30.000 175.14
2025-04-09 2025-05-06
ZTS250620P00115000
ZTS250620P00120000
2 120.00 115.00 0.650 85.000 157.17
2025-05-06 2025-06-02
ZTS250718P00120000
ZTS250718P00125000
2 125.00 120.00 0.575 115.000 148.6
2025-07-08 2025-08-04
ZTS250919P00125000
ZTS250919P00130000
2 130.00 125.00 0.725 65.000 0