Month 4 of trading options. No changes to 'strategy' from my previous posts, but I've been comfortable holding more contracts, holding contracts longer and generally slightly less risk averse, I think because of the obvious kangaroo action we saw this month. I did miss the random +1% monday we had in September because I was in court and yea I'm still pissy about that. Hindsight is easy, but generally in September calls when SPY was below 763 and puts above 770 couldn't lose. I'm 50k away from th
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