Watching for a break about 166. The profit potential with Low IV is sweet. You can just go outright and buy a call.

IVP - 10%, shows how no one wants to decapitate the risk here. The market is expecting no risk in Bonds. Is it true?
註釋
This has been a failure. I choose a tight option for a bounce back. Not what I wanted, but a very minimal loss.
Beyond Technical Analysisucsgears

Uday C Santhakumar
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