In Plus episode 278 for the week of November 23, 2019, we review the latest market conditions including measures of whether markets are in gear or not. We explore the impact of buybacks on earnings growth. Finally, we discuss the risks and reward of covered call strategies, which are also known as buy-write strategies, including why David sold his recent closed-end fund purchase that pursues that type of strategy. … [Read more...]
277 Plus: Investing Cash, Closed-end Funds, Volatility Risk Premium and Rights Offerings
In Plus episode 277 for the week of November 16, 2019 we look at different cash investing options. We review how to evaluate closed-end funds with a focus on recent closed-end funds David has invested in, including one that harvests the volatility risk premium. Finally, we look at how rights offerings work. … [Read more...]