PS- entire premise of this trade is that the max loss one can take is 1/3ed the flat line profit so exits are the only thing that matter
I actually opened with a fairly aggressively position because premiums opened higher than close, but instant 100pt fall with 150point bounce ate all the decay due to delta cost
So since there was no buffer, swapped to penny ratio positioning with very tight exit, good enough
So since there was no buffer, swapped to penny ratio positioning with very tight exit, good enough
Finnifty premium *
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