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Add a big “me too” to that list. I sometimes wish I had bought O instead of NLY. On NLY, I am in the same boay, maybe, as Alex is with O. I’m sitting on losses, and all to me looks dark and grim. But for someone who doesn’t own NLY, the current price may look compelling. Anyway, I agree that I’m not quite ready to pull the trigger on O, but if it keeps going down, I may jump in.
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I bought O for $39.42, got a couple of dividends and then decided to cut the shares loose at $38.48. Since then, the shares have dropped, perhaps further into value range, so currently have a GTC in at $36.75. At any rate, if the shares are acquired at my bid, they will represent about 5% less cash at risk than when previously held.
I also have been waiting on PBA to drop back to my buy range. I sold the shares in August @$31.75 because of a tax issue, but that has been taken care of by submitting the proper form. When the yield rose back above 5% today, the shares were re-bought for $31.92. The original entry was at $30.66, so still have a buffer from that level and very little damage done by the exit and re-entry.
Yesterday in my more active account, I added FFC as it dipped to its yearly low with stretched discount to NAV. Today added FAX for the same reason. Both of these will likely be fairly short term holdings. I'm not overly fond of CEFs, but they can provide opportunity when the discount to NAV gets stretched to extremes. IMO none are great for long term purchases, but they can provide nice swings for entry and exit, and pay very good distributions while one waits for the play to complete.
Alex
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Blah! I put in a modest buy order GTC + ext for 115 shares at $36.75. Got a partial fill of 25 shares on 12/6. Looks like I'll have to wait a while to fill the position out. Right now I'm keeping individual dollar weighting at $4000-$5000 in this small but growing account. ORI was bought at $3375 and has run a little ahead of $5000, but I'll not sell any shares. Will just re-balance by adding to other positions.
Alex
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Nice buy. I picked up a tiny position in O @ 37, thinking I would probably average down and its just gone up since then. I'm not really sure why...
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Activity 2/10-2/17
Not much activity during the past week.
Sold one mini contract: AAPL Oct $540 call for $35.25
SPH distribution of $175
Printed out 1099 from TDAmeritrade today. Waiting on a few K-1's and taxes will be ready to file.
Alex
Cool portfolio. A lot of those positions pay huge dividends! Will look into them when I have more time. Thanks for sharing.