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I am doing a presentation on a couple of option portfolios. Looking for someone to evaluate and create a couple slides based on some portfolio data. I'd like to compile a few slides that show the very difficult nature of the “V” market as it pertains to option portfolios. Meaning in the past year 2009 the market went straight down and then straight back up. The first portfolio is a covered call portfolio. For this one I'd like to have a slide that shows how in the down part of the “V,” all option premiums are profit; and how in the up segment, all those options premiums are subsequently foregone in option losses. This monthly chronology could be very instructive for the people I am presenting to The monthly progression, perhaps superimposed over the market line would make the point in one of the slides.
As for the other portfolio a somewhat similar story emerges of no value added from the option. In this portfolio we write near term index calls and buy...
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