We cashed in the full premium on the Nov Options making our portfolio green for the year 2016 at +3.251%
after commissions. Far away from the +7.24% SPX
and +15.70% RUT.
We entered a new position on Feb29th a Call Spread 2325/2350 3 lots at 2 premium.
Our portfolio looks currently safe, thinking on closing the PS at minimum cost
Will not enter a Feb PUT SPREAD till dont see an oversold market on the stochastics
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