I have a lot of respect for Whitney Tilson and the transparency in his seeking alpha article on Netflix. It was also great to see Netflix response to this. I agree with Whitney on the points that he has raised, but it would appear that he may have mistimed this. Probably as much as the LULU shorts have mis-timed this short.
Im not going to repeat Whitney's article, you can read it here. You can also see the response from Netflix here.
There are a few key reasons I'm looking to short pre earnings
- Google and Apple reporting great earnings got bashed in the market
- Netflix will find it difficult for international expansion and on this fact alone the PE cannot be justified.
- Apple and Google have hoards of cash and a loyal customer base. I doubt they will stand by and watch this potential market being taken over by a small player.
My only concern here would be a potential buyout by one of the cash rich player. The relationships that Netflix has created has significant value to a bigger player. But I'm not sure this is valued at $9bn. It would be cheaper for the acquirer to write a cheque of $1bn to each of the film studio than to acquire Netflix.
In order to ensure management of this trade, the exposure is going to be split as follow's
Max Exposure | |||
Shares | 1000 | ||
210.79 | Exit | ||
200.75 | 9.56 | 200,754.23 | |
191.19 | 9.10 | 191,194.50 | |
182.09 | 182,090.00 | ||
172.99 | -9.10 | 172,985.50 | |
164.34 | -8.65 | 164,336.23 | |
156.12 | -8.22 | 156,119.41 | |
148.31 | Exit |
Maximum Loss – Short Positions | ||||
20.00% | 200 | 182.09 | 36,418 | |
30.00% | 300 | 191.19 | 57,358 | |
30.00% | 300 | 200.75 | 60,226 | |
Average | 192.50 | 154,003 | ||
Exit | 800 | 210.79 | 168,632 | |
Maximum Loss | 14,629 |
Maximum Profit – Short Positions | ||||
20.00% | 200 | 182.09 | 36,418 | |
30.00% | 300 | 172.99 | 51,896 | |
30.00% | 300 | 164.34 | 49,301 | |
20.00% | 200 | 156.12 | 31,224 | |
Average | 168.88 | 168,838 | ||
Exit | 1000 | 148.31 | 148,313 | |
Maximum Profit | 20,525 |
Ive added another 200 Short at 195.88. Brings the average to 188.98 with a holding of 400. I will add further 200 at 200.75.
ReplyDeleteIve now added a further 300 at 208.23. This brings my average short position to 700 with the average cost to 197.23 for 700 Shares.
ReplyDelete