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Value Investment Fund – November 30, 2022 - ValueInvestingNow.com

Value Investment Fund – November 30, 2022

Overall, the Value Investment Fund dropped in value 3.5% from the October 31, 2022 balance. The Fund still is way ahead in comparison to all the major indices as illustrated here:

Value Investment Fund

 

Value Investment Fund – Status on November 30, 2022

                                                                                                                   November 30, 2022         October 31, 2022          November 30, 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            $219.38                        $15,859.50                      $15,726.16
.   – Essex Property Trust, Inc. (Tranche #2)              77.7000             20,000              219.38                          17,190.35                        17,045.83
.   – Essex Property Trust, Inc. (Tranche #3)            100.0000             22,221             219.38                           22,124.00                        21,938.00
.   – Essex Property Trust, Inc. (Tranche #4)            180.0000             44,980             219.38                           39,823.20                        39,488.40
.       Sub-Totals                                                  429.3846            107,201                                                 $94,997.05                     $94,198.39
Entertainment
.    – The Walt Disney Company (Tranche #1)         180.1801             20,000             $96.87                         $19,016.21                      $17,454.04
.    – The Walt Disney Company (Tranche #2)         200.0000             21,200               96.87                           21,108.00                        19,374.00
.    – The Walt Disney Company (Tranche #3)         198.0198             20,000               96.87                           20,899.01                        19,182.18
.       Sub-Totals                                                  578.1999              61,200                                                $61,023.22                      $56,010.22
Banking 
.    – Wells Fargo                                                             100.00                      4,267.50              46.95                           $4,499.00                       $4,695.00
Dividend Receivables (Wells Fargo)                                                                                                               -0-                                    30.00
Cash on Hand (Basis, Gains, Dividends, PUTS)                                                                                         1,615.11                         1,615.11
Totals (Starting Cost Basis = $100,000)                                  $172,668.50                                         $162,134.38                    $156,548.73
Accrual adjustment for taxes                                                                                                                         3,401.79                          4,974.17
Totals Net of Taxes (Recapture)                                                                                                           $165,536.16                     $161,522.89
This portfolio’s value is AFTER TAXES of 28% on all realized gains. Total taxes paid to date             25,924.50                         25,924.50
Comparative Gross Return Since Inception                                                                                             $191,460.60                    $187,447.39
Unrealized Earnings (Value of Respective Market Prices Less Cost Basis/Fees at Point of Sale)  $(12,149.23)                    $(17,764.88)
*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
  • Norfolk Southern Corporation – sold in September (200 Shares) with a strike price of $145 and an expiration date of January 21, 2024   $29,000

Market prices on November 30, 2022 are:

  • Union Pacific Railroad (Expiration on 01/21/2023)                          $217.43  (Strike Price of $155.00) Current Deviation = 40.27% 
  • JP Morgan Chase (Expiration on 06/16/2023)                                   $138.18  (Strike Price of $80.00)  Current Deviation =  72.72%
  • Norfolk Southern Corp (Expiration on 01/21/24)                             $253.36  (Strike Price of $145.00) Current Deviation = 74.73%
    *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                                                                                    $1,040.00
.   Dividends Earned                                                                                                                                654.26
.   Third Quarter Earnings                                                                                                                   $1,694.26

Fourth Quarter Earnings:
.    Realized Gains from Sale of Wells Fargo                                                                                      $7,623.19
.    Dividends Earnings (Wells Fargo)                                                                                                         30.00  

Total Realized Earnings Year to Date 2022                                                                                   $20,264.97  (11.97% Realized Return to Date)

Taxes Paid to Date 2022 – $3,531.30 (28% of the $12,611.78 Realized Thru September 30th 2022)

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