The majors stayed relatively flat on this monthly expiry Friday. QQQ closed down 0.5% while RUT/IWM inched up again. It's conflicting signals.
Made 18 trades today. Rolled and closed my long calls of this week for profits. Reduced one more SPX bull put of 2705 after splitting 2750 to 2705 and 2730. I may be able to add or split another ITM bull put to reduce my size a little further.
Net liq is back at 120K again. Margin ratio and excess liq are adequate for this weekend. I will reduce my OTM bear calls next week to bring up my available funds early next week.
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