FINAL September 2014 Portfolio #1 Results:

The MCM September 2014 Portfolio #1 showed a $2,060 Gainfor the month.

We had two losses in Portfolio #1 (HLT September 24/25 Call spread, and ZION 30 call.

Winners in Portfolio #1 included DO, SPWR (calls and puts), VECO, ATI, HLT(puts) & APOL (calls).

The individual spread results from each position can be seen in the PORTFOLIO section of the newsletter for portfolio #1.

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FINAL September 2014 Portfolio #2 Results:

The MCM September 2014 Portfolio #2 showed a $990 LOSS

This portfolio had losers in COF(calls), PG(calls) and MRK(calls).

Individual successful spreads were in IBM(puts), RHT(puts), DIS(puts), MRK(puts), AALP(puts), PG(puts) and IBM(puts) .

The individual spread results from each position can be seen in the PORTFOLIO section of the newsletter for portfolio #2.

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FINAL September Portfolio #3 Results:

The MCM September 2014 Portfolio #3 showed a $1,190 LOSS

We were hit by three (3) losses in the Portfolio #3: SEAS calls, BBRY (calls) and CSX (calls)

We had winners in the following positions SLV, NE (calls), OSTK (calls), WLT (calls), SEAS (puts) and SUNE (puts) in Portfolio #3.

The individual spread results from each position can be seen in the PORTFOLIO section of the newsletter for portfolio #3.

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The watch list and PORTFOLIO for October 2014 will begin posting later this evening, if not than tomorrow

We will probably be adding additional MCM October 2014 positions this weekend.