here’s an update of the Dow30 calls stated at the beginning of the year. We’ve been through some turmoil this year but there is much in store.
MMM: Short 78.35; Now at 76.83, +1.9% the maxdrawdown was not much, within range of -2% I believe and max unrealized profit at 7.3%. I will maintain a short rating on this but if it goes back to -2% (over the 79.4 region I would cover and go long)
AA: Long 29.24; Now 34.87, +19.3% , max drawdown was 4.4% which was quickly reversed soon after the pick. I will maintain a long position on this as it is one of the few long positions in this portfolio and it continues to be a strong performer. Alcoa releasing earnings today. Let’s see if they beat their 11% expectation earnings increase.
MO: Short 84.78. A crude calculation for adjusting for the spinoff of Kraft yields my short at nearly $65.19 which in comparison to today’s price of $69.90 is lower resulting in a loss. The market has blessed the spinoff with favorable share price increase I stand at a 4.71% loss on this trade. I will actually change calls on this to a long. at this point.
AXP: Short 60.85; Currently 56.36 for +7.37%. I maintain a short on this unless it goes over $58 at which point I will cover the short.
AIG: Short 71.67; Currently 67.23 for +6.2% on this trade. I maintain short.
T: Short 34.98; Bad call shorting into a solid trend. This yields -12.4%. I will reverse position to long here.
BA: Short 88.76; Currently 90.03 so I’m losing 1.4% on this trade. It’s been in a range between 85 and 91 so I’m not too concerned. A short call spread would probably yield a profit on this with time decays. Short.
CAT: Short 60.59; This was a rough trade as the trend was down and it seems to have reversed soon after the call was made. This trade is proving a 11.1% loss. I will actually go long here.
C: Long 54.55; Another loser at -5.4%. I maintain a long though.
KO: Long 48.38; Not too bad but took a while and a decent drawdown to get here. Currentl 49.63 decent run after a drop to 45. +2.6%. Keep long
DD: Short 48.57; Big drawdown but now only a smaller loss. I maintain short looks like a dome to be. -2.3%.
XOM: Short 75.41; Small loss now, had significantly higher profits immediately after the call and also in the beginning of March. I will maintain a short but if it goes over 78.75 I will go long. -1.8%
GE: Short 37.57; Keep on short; +7.4%
GM: Short 29.42; Losing trade; was much worse at its peak of 36.99. It’s still idling and the future is not so clear. Keep short I’d say. -8.7%
HPQ: Long 40.63; The crash wiped out a lot of the gain but it’s staging a comeback
much like the rest of the market. It seems to react fine, i maintain long. +1.7%
HD: Short 38.89; Keep short; +2.1%
HON: Long 44.63; Stay long; +5.6%
INTC: Short 20.08; now 20.10; Breakeven. Stay short, if it goes to 20.50 then go long.
IBM: Short 95.25; Had a nice profit but rallied; reminds me of HPQ. Staying short;-1.4% so far.
JNJ: Short 65.65; +6.1%. Will stay short.
JPM: Short 47.89; -2.39%; staying short.
MCD: Short 43.57; -1%, going long here.
MRK: Short 42.83; -6.6%; staying short.
MSFT: Short 29.64; +3.6%; staying short.
PFE: Short 25.97; now 26, breakeven.
PG: Short 63.80; -.8%; staying short.
UTX: Short 62.56; -4%; staying short.
VZ: Short 36.55; -4%; going long.
WMT :Short 45.54; -6.7%; staying short.
DIS: Short 34.16; -2.2%; staying short.
Total for first quarter 2007: -0.43% while the Dow30 Long is up 0.8%. Thus my picks are underperforming the
market by 1.23%.