April 24, 2015 4:52 AM | 1 min read |
27% profit every 20 days?
This is what Nic Chahine averages with his option buys. Not selling covered calls or spreads… BUYING options. Most traders don’t even have a winning percentage of 27% buying options. He has an 83% win rate. Here’s how he does it.
Below are the top small-cap property & casualty insurance stocks on the NYSE and the NASDAQ in terms of operating margin.The trailing-twelve-month operating margin at
MBIA Inc. (NYSE: MBI) is 73.90 percent. MBIA's ROE for the same period is 14.60 percent.The trailing-twelve-month operating margin at
Oxbridge Re Holdings Ltd. (NASDAQ: OXBR) is 71.40 percent. Oxbridge Re Holdings' EPS for the same period is $0.88.The trailing-twelve-month operating margin at
Global Indemnity plc (NASDAQ: GBLI) is 54.50 percent. Global Indemnity's PEG ratio is 1.15.The trailing-twelve-month operating margin at
Montpelier Re Holdings Ltd. (NYSE: MRH) is 54.30 percent. Montpelier Re Holdings' revenue for the same period is $691.10 million.
27% profit every 20 days?
This is what Nic Chahine averages with his option buys. Not selling covered calls or spreads… BUYING options. Most traders don’t even have a winning percentage of 27% buying options. He has an 83% win rate. Here’s how he does it.
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