Options Portfolio: as of 11/6/17
I've been bearish on this market since November of last year, clearly proven wrong on my timing. Now I am attempting to be more selective with what and when I'm bearish. I will update this "Options Portfolio" post as positions change from week to week.
VLRS Dec15'17 10 PUT | BOT @ .46 | P&L -3 | RLZD P&L --
PM Dec22'17 102 PUT | BOT @ 2.72 X 2 | P&L 67 | RLZD P&L --
T Mar16'18 32 PUT | BOT @ 1.33 | P&L -5 | RLZD P&L --
GE Mar16'18 21 PUT | BOT @ 1.72 | P&L -1 | RLZD P&L --
GM Mar16'18 42 PUT | BOT @ 2.60 | P&L 15 | RLZD P&L --