Break even day. Took some profits (shown in spread sheet). Added four trades.
ROI only reflects closed out trades. Still a lot of open positions. As I close out the trades, I'll post the win, loss and ROI for all of them.
Of the open positions:
25 are winning
30 are losing
Sold half of MU was up over 100%, and I'll let the rest ride for a while.
Sold all of the SKX up over 100%.
Have two earnings plays on for tomorrow. BOX and DG. I need both to miss, but that's the good thing about options my loss is limited and I still might be able to hedge off some of the loss if they go up. I'm losing in both pretty good as it is anyway, so I don't have much more to lose and everything to gain.
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