TRADE IDEA: SPY APRIL 21ST 209/212/235/238 IRON CONDOR

已更新
Going out to April for my core index exchange-traded fund position, since volatility "locally" (<45 DTE) blows here. Very close to getting 1/3rd the width of the wings; it'll have to do ... .

Metrics:

Probability of Profit: 54%
Max Profit: 92/contract
Max Loss/Buying Power Effect: 208/contract
Break Evens: 211.08/235.92
Theta: .67/contract
Delta: -5.34/contract

Notes: Here, I'm setting up my short options at the 20 delta strike, and the long options three strikes out from those. Looking to manage at 50% max profit.
註釋
Did not get filled and didn't have time to chase. Will try again tomorrow when I've got time to watch, adjust strikes, etc.
ironcondoroptionsstrategySPDR S&P 500 ETF (SPY)

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