I opened 1 lot(s) $ASTS 20250417 26.0 PUT$ ,Opened a put 1 month down the road for sentiments to change and hopefully I get to pocket some healthy premiums this time round
I closed 20 lot(s) $SPY 20250312 590.0 CALL$ ,20 lots all poofed and lost $150+ in the process as the recovery did not take place. Sentiments have a lot more sway it seems
I opened 10 lot(s) $SPY 20250312 590.0 CALL$ ,Opened another 10 lots with the continued drop in price, 2 days for markets to do a sizable rebound in other to see some returns
I opened 1.0 unit(s) $ASTS CUSTOM 250620 PUT 25.0/CALL 40.0$ ,Opened a lot of sell put and buy call 3 months down the road with some premium collection meanwhile. Time will tell if my call turns out to be right or wrong 😅
I opened 1 lot(s) $ASTS 20250321 27.0 PUT$ ,Opened a lot 2 weeks down to collect some premium. Should have a higher support now with all the re-ratings upwards
I opened 1 lot(s) $VIX 20250416 26.0 CALL$ ,Took advantage of the high volatility currently to sell 1 lot about 1.5 months into the future. Hopefully things would have settled down by then 😬