Ukraine tension stopped the up push today. ES tested BB/M daily and bounced so far. I had to go get the new car and missed some entries in ES and grains. I got couple of ES filled before closing for the next 2 weeks.
This is my best week so far in terms of realized gains. It's total of $11.5K minus $3900 rollover recover. It's net of $7.6k. Of course one can't expect every month like it. Part of it was luck of under water recovery. A lesson learned that the combination of weekly and monthly options improved my total return.
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