Covered call option cash flow for any portfolio will vary depending on actual portfolio positions, option premiums received, individual security price volatility, and
general stock market volatility.
Not exact matches
The
stock markets in
general have experienced substantial
volatility that has often been unrelated to the operating performance of particular companies.
Apart from
general market risk, security risk, the lack of liquidity at times and higher
volatility associated with mid caps
stocks could affect the fund and its performance.
In
general,
stocks are subject to greater price fluctuations and
volatility than bonds and can decline significantly in value in response to adverse issuer, political, regulatory,
market, or economic developments.
Beta — a measure of
volatility of a
stock in comparison to the
market as a whole; the risk of owning
stocks in
general; or an investment's sensitivity to the
market.
Today's strategy looks for U.S.
stocks that can better weather
volatility than the
general U.S.
market (as measured by the S&P 500 Total Return Index).
They are paying you a nice dividend of ~ 3.25 %, but you might want to consider another investment vehicle if you still have a timeframe that can withstand
general stock market risk and
volatility.
In fact, there are several other factors weighing on
stocks lately and the entire year has been marked by heavy
volatility and
general uncertainty in the
markets.
In
general, real estate has less
volatility than the
stock market.