OptionFit Strategy Screener

Closed Trades

Every put you've sold and closed out. Like an insurance book: you collected premium up front, and these are the policies that have now expired, been bought back, rolled or assigned.

Overall performance · all closed trades

Total realized profit +$2,764 Premium kept minus cost to close, across every trade
Gain on equity +19.0% On ~$14,500 average margin/cash deployed per trade
Closed trades 12
Win rate 83% 10 wins · 2 losers
Premium collected $3,676 up front, across 12 trades
Avg holding period 30 days from open to close
Annualized return 19.9% return-on-margin, annualized

Trade history · newest first (click a header to sort)

Strategy Symbol Legs / Strike Opened Closed Held
(days)
Premium
collected
Cost to
close
Realized
P/L ($)
P/L % Return on
margin
Annualized
%
Outcome
Figures are per position, sell-at-bid / buy-at-ask, commissions excluded. Return-on-margin = realized P/L ÷ cash-secured margin held. Annualized = return-on-margin × 365 ÷ days held.
Delayed market data for educational research only — nothing here is a recommendation to buy or sell any security. Options involve risk and are not suitable for every investor. Mock data shown for demonstration.