After 3 weeks badly manageing the Sep 2225/50 CS finally stopped out at 6.70.
Portfolio Bellini YTD has a negative -2.233% performance 2016, wide behind major indices.
Markets did not move much this summer week. With VIX on very low zones makes difficult to sell Spreads, but will try and find well OTM to get some return this year.
Next Friday we would, hopefully, get full premium on the RUT CS 1270/80 and end of month hopefully the CS 2250/75
SPX still look very bullish and aiming to 2300
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