Here are the trades (p=puts, c=calls, number near end
is price per contract, sell means sell-to-open, cover means
buy-to-close):
Mon Cover AAPL Oct 275 c 04 for
profit
Sell AAPL Oct 250 c 34
Sell TSLA Sep28 190 p 147
Sell AMZN Sep 2175 c 93
Sell AAPL Oct 250 c 34
Sell TSLA Sep28 190 p 147
Sell AMZN Sep 2175 c 93
Wed Sell MU Sep 35 p 23
Sell NFLX Sep28 310 p 55
Sell PANW Oct 190 p 35
Thu Rally day. I add long delta.
Sell AAPL Oct5 195 p 27
Sell
PAYC Oct 130 p 45
Sell GRUB Oct 115 p 55
Sell GRUB Oct 115 p 55
Sell IWM Oct5
157.5 p 20
Sell QQQ Oct5 170 p 30
Sell QQQ Oct5 170 p 30
Sell SPY Oct12 275 p
57
Fri Cover BA Sep 275 p 02 profit
Sell BA Oct 300 p 42
Sell BA Oct 300 p 42
Sell NVDA strangles: Sell NVDA Oct 325 c 29
Sell NVDA Oct 230 p 73
Sell NVDA Oct 230 p 73
No comments:
Post a Comment