Max profit, breakeven, collateral and annualised return on a short put.
Course catalogue99 lessons
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Credit received$210.00
Kept after fees$209.35
Collateral required$9,500
Breakeven$92.91
Return on collateral2.20%
Annualised26.8%
Maximum loss is $9,291. The collateral less the premium, reached if the shares go to zero. The annualised figure extrapolates this one trade across a year; it is a comparison tool, not a forecast.
Results are arithmetic on the numbers you type. No market data is fetched, and nothing here accounts for early assignment, dividends, taxes, or the bid-ask spread you would actually cross.