Some Iv hiding out in the Tech sector due to the middle of the earnings season.

Sold -1 Sep21 70/73 strangle for $2.43 cr .

Risk: 2x cr received to upside, possibly continue to roll put to the downside.
Profit: 50% cr received or manual close on some quick profits (IV collapse due to earnings?)

Trade active: Rolling up the $70 put here for add'l $.88 cr. Price has recovered, so I wanted to gain some bullish delta back. New pay-off diagram looks like this:

EN English
EN English (UK)
EN English (IN)
DE Deutsch
FR Français
ES Español
IT Italiano
PL Polski
SV Svenska
TR Türkçe
RU Русский
PT Português
ID Bahasa Indonesia
MS Bahasa Melayu
TH ภาษาไทย
VI Tiếng Việt
JA 日本語
KO 한국어
ZH 简体中文
ZH 繁體中文
AR العربية
HE עברית
Home Stock Screener Forex Screener Crypto Screener Economic Calendar How It Works Chart Features House Rules Moderators Website & Broker Solutions Widgets Stock Charting Library Feature Request Blog & News FAQ Help & Wiki Twitter
Profile Profile Settings Account and Billing My Support Tickets Contact Support Ideas Published Followers Following Private Messages Chat Sign Out