One question: how does Google have to perform for owning the stock on margin to beat selling long-dated puts on it. Change any input; everything below recalculates.
-
-
-
-
| Terminal price | Buy P&L | Sell P&L | Difference |
|---|
| Shares, Reg T (25% of notional) | - |
| Shares, portfolio margin (15% of notional) | - |
| Naked short put (20% rule, 10% floor) | - |
-