Markets keep going high, and there is nothing to stop them yet. Also there is a lor of room to correct, but with VIX at lows is hard to open new strategies.
We cashed in the 2 Aug31st SPX 2250/75 for full premium, and our Portfolio is still on the negative -0.843%
Our current open positions look OK, dont think we will go up for ever so in next correction we could look to open new PS and releive some of the CS
Markets are looking still oversold, so a correction before keeping heading norh would be rather healthy for the markets.