Daily Portfolio Summary
Generated at 2026-01-28T17:50:09.846129
Overview
Daily Portfolio Summary — 2026-01-28 Key Highlights - Portfolio at €1,837,642 (-0.2% d/d) / $2,201,560 - Strength: Growth-tech -0.3% (-$4,763) driven by no single driver. - Pressure: Growth-tech -0.3% (-$4,763) led by broad weakness. - Cash moved €0 today; net change week €0 / $0. - Manual updates: All Others -€503 (last 2025-11-18), All Others -€432 (last 2025-11-18), All Others -€404 (last 2025-11-18). - Statement last updated 2025-12-04; balances rely on ledger entries. - Income YTD: €0 (div €0, calls €0, assign €0; run-rate €0). Portfolio Value | Category | EUR | USD | Δ d/d | | --- | --- | --- | --- | | SAN CH | €1,332,785 | $1,596,724 | -0.3% | | All Others | €2,126,857 | $2,548,050 | – | | Cash | €101,000 | $121,002 | +0.0% | | Lombard Loan | -€1,723,000 | -$2,064,215 | – | | Total Portfolio | €1,837,642 | $2,201,560 | -0.2% | Strategy Moves | Strategy | Value (EUR) | Δ d/d | Δ (USD) | Key movers | | --- | --- | --- | --- | --- | | Growth-tech | €1,362,091 | -0.3% | -$4,763 | — | Top Position Movers - Gainers: — - Laggards: — Risk Watch - Active flags: 5; focus areas: sector_caps (2), Position sizing (1), Income coverage (1). - Signals raised: 2; latest triggers: Position sizing (1), Income coverage (1). - Priority names: SLEEVE::INCOME (1), QLD (1). • Position sizing: SLEEVE::INCOME weight 67.5% vs 12.0% cap – breached hard 15.0%; trim toward target. • Income coverage: Portfolio yield ? vs target 3.0% • ATR stop breach: QLD: last close 70.41 under ATR stop 148.74 (x2.5 ATR); execute exit plan. Cash Flow - Daily change: €0 - Week change: €0 (net €0 / $0) - Inflows (Dec 2025): • Dividends €2,258 / $2,705 (core €0 / $0, enh €2,258 / $2,705) • Call premiums €0 / $0 • Assignments €0 / $0 • Net inflow €2,258 / $2,705 - Reminder: Statement stale (last value date 2025-12-04); using ledger balances. Income | Period | EUR | USD | Div (EUR) | Div (USD) | Calls (EUR) | Calls (USD) | Assign (EUR) | Assign (USD) | | --- | --- | --- | --- | --- | --- | --- | --- | --- | | Month-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 | | Quarter-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 | | Year-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 | | Trailing 12 Months | €340,449 | $407,870 | €54,922 (core €38,072, enh €16,850) | $65,798 (core $45,612, enh $20,187) | €251,190 | $300,935 | €34,337 | $41,137 | - Annualised run-rate: €0 / $0 Upcoming Dividends (7 days) - None scheduled. Upcoming Dividends (rest of month) - None scheduled. Option Watch - Likely assignments (ITM): INTC 2026-02-20 @43.0 (UL 47.70, 90x, cash €387,000), MRNA 2026-02-20 @43.0 (UL 44.00, 51x, cash €219,300), NVO 2026-02-20 @60.0 (UL 60.89, 40x, cash €240,000) - Reverted from ITM: DECK 2026-02-20 @100.0, ORCL 2026-02-20 @185.0, TSLA 2026-03-20 @455.0
Portfolio Value
| Category | EUR | USD | Daily % |
|---|---|---|---|
| SAN CH | €1,332,785 | $1,596,724 | -0.3% |
| All Others manual | €2,126,857 | $2,548,050 | – |
| Cash | €101,000 | $121,002 | +0.0% |
| Lombard Loan manual | -€1,723,000 | -$2,064,215 | – |
| Total Portfolio | €1,837,642 | $2,201,560 | -0.2% |
Manual updates:
All Others
-€503 (last 2025-11-18)
;
All Others
-€432 (last 2025-11-18)
;
All Others
-€404 (last 2025-11-18)
;
All Others
-€109 (last 2025-11-18)
;
Lombard Loan
€0 (last 2025-11-18)
Strategy Moves
| Strategy | Value (EUR) | Daily % | Δ (USD) | Notable Tickers |
|---|---|---|---|---|
| Growth-tech | €1,362,091 | -0.3% | –$4,763 | – |
Risk Flags
Flags
- sector_caps: Check details
- sector_caps: Check details
- position_sizing: Check details
- min_yield: Check details
- atr_stop: Check details
Focus areas: sector_caps (2), position_sizing (1), min_yield (1)
Signals
- position_sizing: Triggered
- min_yield: Triggered
Recent triggers: position_sizing (1), min_yield (1)
Priority tickers: SLEEVE::INCOME (1), QLD (1)
Immediate Flags
- Position sizing: SLEEVE::INCOME weight 67.5% vs 12.0% cap – breached hard 15.0%; trim toward target.
- Income coverage: Portfolio yield ? vs target 3.0%
- ATR stop breach: QLD: last close 70.41 under ATR stop 148.74 (x2.5 ATR); execute exit plan.
Cash Flow
Recent Movement
- Daily change: €0
- Weekly change: €0
- Net change (week): €0 / $0
- Outflows (week): €0
- Last statement: 2025-12-04 stale
Cash Balances
- EUR: €101,000
Inflows (EUR) Dec 2025
| Dividends |
€2,258
Core
€0 /
Enh
€2,258
|
|---|---|
| Call premiums | €0 |
| Assignments | €0 |
| Total | €2,258 |
Inflows (USD) Dec 2025
| Dividends |
$2,705
Core
$0 /
Enh
$2,705
|
|---|---|
| Call premiums | $0 |
| Assignments | $0 |
| Total | $2,705 |
| Month | Dividends (core/enh) | Call premiums | Assignments | Total |
|---|---|---|---|---|
| Aug 2025 |
€0
Core
€0 /
Enh
€0
|
€26,644 | €34,337 | €60,981 |
| Sep 2025 |
€6,677
Core
€102 /
Enh
€6,574
|
€41,672 | €0 | €48,349 |
| Oct 2025 |
€4,601
Core
€3,455 /
Enh
€1,146
|
€80,870 | €0 | €85,471 |
| Nov 2025 |
€9,871
Core
€3,000 /
Enh
€6,871
|
€93,741 | €0 | €103,612 |
| Dec 2025 |
€2,258
Core
€0 /
Enh
€2,258
|
€0 | €0 | €2,258 |
| Jan 2026 |
€0
Core
€0 /
Enh
€0
|
€0 | €0 | €0 |
Statement stale (last value date 2025-12-04); using ledger balances.
Income
| Period | Total (EUR) | Total (USD) | Dividends (EUR) | Dividends (USD) | Call Premiums (EUR) | Call Premiums (USD) | Assignments (EUR) | Assignments (USD) |
|---|---|---|---|---|---|---|---|---|
| Month-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 |
| Quarter-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 |
| Year-to-date | €0 | $0 | €0 | $0 | €0 | $0 | €0 | $0 |
| Trailing 12 Months | €340,449 | $407,870 |
€54,922
Core
€38,072 /
Enh
€16,850
|
$65,798
Core
$45,612 /
Enh
$20,187
|
€251,190 | $300,935 | €34,337 | $41,137 |
Annualized run-rate: €0 / $0
Dividends Expected (7 days)
- No upcoming ex-dates.
Dividends Expected (rest of month)
- No scheduled payouts.
Rolling Opportunities (Deep OTM)
- No contracts deep OTM.
Likely Assignments (ITM)
- INTC 2026-02-20 @ 43.0 — underlying 47.7, 90x, cash €387,000
- MRNA 2026-02-20 @ 43.0 — underlying 44.0, 51x, cash €219,300
- NVO 2026-02-20 @ 60.0 — underlying 60.89, 40x, cash €240,000
Reverted from ITM
- DECK 2026-02-20 @ 100.0
- ORCL 2026-02-20 @ 185.0
- TSLA 2026-03-20 @ 455.0