Monday, May 11, 2009

Monday of OPEX


I started to take profits today and I added some new buy writes today.  I am not going to show all my positions but rather just the risk profile for my whole portfolio beta weighted(May spreads only). This week started off with a big sell off which I was expecting as positions get settled and rolled. As for my credit spreads I will be letting those expire worthless as I am "deep and wide". As for my 1-2 short term traded calendar spread positions that I said I would do are on hold till next week, because there is too much risk this week. 

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