Price drop over 4% yesterday after JPM shared their higher forecast for their expenditures. I think market over reacted so when I saw price bouncing back to $300 lever I entered a credit spread. I feel price will still rise as it approach earnings. I will still profit as long as price stay above $295 by expiration date.
| Side | Price | Filled | Realized P&L |
|---|---|---|
| Credit Open | -1.59 3 | -- Holding |
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- Luckygim74·12-10 22:55Great article, would you like to share it?1Report
- bennyser·12-10 13:321LikeReport
