New
long in Deutsche Bank. I bought near the low. Other trades were
mostly about rebalancing to the delta that I want. Here are the
trades (c = calls, p = puts, all are third week expiration unless
noted, sell means sell-to-open, cover means buy-to-close, number is
price per contract):
Tue
Sell FB OctW1 123 p 25
Sell
TSLA OctW1 185 p 48
Sell
BRKB OctW1 147 c 26
Sell
NVDA strangle:
Sell NVDA Oct 59 p 32
Sell
NVDA Oct 75 c 13
Sell
SPY OctW1 207 p 25
Sell
IWM OctW1 118 p 21
Wed
Sell BRKB Oct 147 c 40
Sell
XLE Oct 64 p 21
Sell
TWLO Oct 50 p 35
Thu
Sell BRKB OctW1 146 c 39 rebalance
SPY
backratio 50 credit:
Buy SPY Dec 195 p 175
Sell
2x SPY Dec 188 p 112.5 each
Sell
DB Nov 6 p 30 New long
Sell
TSLA OctW1 225 c 27 rebalance
Sell
TLT Oct 133 p 23 rebalance
Fri
Sell DB Sep 10 p 20
Sell
WYNN Oct 116 c 23
No comments:
Post a Comment