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Value Investment Fund – August 31, 2022 - ValueInvestingNow.com

Value Investment Fund – August 31, 2022

Overall, the Value Investment Fund remained stagnant during August 2022. The Fund’s balance improved a mere .2%. 

Value Investment Fund – Status on August 31, 2022

                                                                                                                      August 31, 2022             July 31, 2022                  August 31, 2022
.                                                                        # of Shares     Cost Basis   Net Market Price*   Net Fair Market Value*   Net Fair Market Value*
REITs 

.   – Essex Property Trust, Inc. (Tranche #1)              71.6846           $20,000            $264.06                        $20,467.39                      $18,929.04
.   – Essex Property Trust, Inc. (Tranche #2)              77.7000             20,000            $264.06                          22,184.90                        20,517.46
.       Sub-Totals                                                  149.3846            40,000                                                  $42,652.29                      $39,446.50
Entertainment
.    – The Walt Disney Company (Tranche #1)         180.1801             20,000            $111.08                        $18,936.93                       $20,014.40
.    – The Walt Disney Company (Tranche #2)         200.0000             21,200              111.08                          21,020.00                         22,216.00
.    – The Walt Disney Company (Tranche #3)         198.0198             20,000              111.08                          20,811.88                         21,996.04
.       Sub-Totals                                                  578.1999              61,200                                                $60,768.81                       $64,226.44
Banking 
.    – Wells Fargo (Tranche #1)                                292.0560             10,000               $42.71                       $12,520.44                       $12,473.71
.    – Wells Fargo  (Tranche #2)                                558.9715             20,000                 42.71                          23,963.11                        23,873.67
.    – Wells Fargo (Tranche #3)                                              234.3292             10,000                 42.71                         10,045.69                        10,008.20
.       Sub-Totals                                               1,085.3597             40,000                                                  $46,529.24                      $46,355.58
Dividend Receivables (Essex Property Trust)                                                                                                  -0-                                  325.61
Cash on Hand (Basis, Gains, Dividends, PUTS)                                                                                       24,240.55                        24,240.55
Totals (Starting Cost Basis = $100,000)                                  $141,200                                              $174,190.89                     $174,594.68
Accrual adjustment for taxes                                                                                                                       (2,450.10)                        (2,471.99)
Totals Net of Taxes (Recapture)                                                                                                           $171,740.80                     $172,122.70
This portfolio’s value is AFTER TAXES of 28% on all realized gains. Total taxes paid to date equals  25,450.11                         25,450.11
Comparative Gross Return Since Inception                                                                                             $197,190.91                    $197,572.84
Unrealized Earnings (Value of Respective Market Prices Less Cost Basis/Fees at Point of Sale)     $8,750.34                         $8,828.53
*Net of transaction fees of $1.00 per share; thus the amount in the schedule equals the actual market price per share at closing less $1.00 per share.

Value Investment Fund – Potential Obligations

The Value Investment Fund’s current exposure related to PUT options is as follows:

  • Union Pacific Railroad – sold in Feb 2020 with a strike price of $155/share and an expiration date of January 21, 2023                 $20,000
  • JP Morgan Chase – sold in May 2022 with a strike price of $80/share and an expiration date of June 16, 2023                                $20,000
  • Essex Property Trust, Inc. – sold in May 2022 with a strike price of $260/share and an expiration date of October 21, 2022          $20,800
  • Essex Property Trust, Inc. – sold in June with a strike price of $240/share and an expiration date of October 21, 2022                   $24,000

Market prices on August 31, 2022 are:

  • Union Pacific Railroad (Expiration on 01/21/2023)                          $225.24  (Strike Price of $155.00) Current Deviation = 38.86% 
  • JP Morgan Chase (Expiration on 06/16/2023)                                   $113.73  (Strike Price of $80.00)  Current Deviation =  42.16%
  • Essex Property Trust, Inc. (Expiration on 10/21/2022)                     $264.06  (Strike Price of $260.00/$240.00) Current Deviation =  1.56%/10.03% Respectfully
    *Deviations > 25% are considered favorable.

Value Investment Fund – Earnings Year-To-Date

First Quarter Earnings:
.    Sold Huntington Ingalls 03/07/22  Net Realized Gain                                                                  $5,557.05
.    Dividends Earned (First Quarter 2022)                                                                                              271.34
.    Net Earnings from Sales of PUT Contracts                                                                                        573.10
.    First Quarter Earnings                                                                                                                    $6,401.49

Second Quarter Earnings:
.   Net Earnings from Sales of PUT Contracts                                                                                    $3,908.57
.   Dividends Earned                                                                                                                                607.46
.   Second Quarter Earnings                                                                                                                $4,516.03

Third Quarter Earnings:
.   Net Earnings from Sales of PUT Contracts                                                                                        $-0-
.   Dividends Earned                                                                                                                                325.61
.   Third Quarter Earnings                                                                                                                     $325.61

Total Realized Earnings Year to Date 2022                                                                                   $11,243.13  (6.63% Realized Return to Date)

Taxes Paid to Date 2022 – $3,056.91 (28% of the $10,917.52 Realized Thru Jun3 30th 2022)

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