A big down day for the first trading day of 2016 led by China's 7% drop. DAX was down 4%. US indices were down 2-3% in early session, only to recover partially. I added some calls and closed couple puts today. My margin is switched to the call side again. I still feel that I have too many puts in my overall holdings.
I need to clear define the size of my position for each week on top of my portfolio risk parameters.
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