Long: 10 NF 11009
Long: 20 PE Nov 11000 260
Paid: 5300 points.
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Short : 2 lots 11300 CE NOV 162
Bought 110. Gain 50*2=100pts
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Short: 2lots 11100ce Nov 185 (10850)
Bought 150. Gain 70pt
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Short 11000 CE 195*2=390
bought 125 gain: 140
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These gambles paid off 300 points. Now, will square off 2 lots 10600 PE NOV 152 (10911) on the next upday, taking the loss.
Short: 2 lots 10600 PE NOV 152 (10911)
Collected: 304
(Not how we shorted at 10911, but will happily cover at 10700, a small pullback, with a minor loss. Power of time decay)
Fresh straddle. PE leg on down day, CE leg on upday.
short 2 lots 10400 pe nov 200
collected: 400
Short: 1 lot 10800 PE NOV 223 (10858)
Short: 10700 pe Nov 240 (10697)
Short: 10600 pe Nov 254 (10580)
short: 10600 pe nov 254 (10600 EOD) <shorted an extra PE seeing that the market has hit a support region)
short: 10500 pe nov 250 (10513)
short: 10400 pe nov 245 (10413)
To make Bull Call: BUY 10450 OCT CE 232 (Will sell the other leg on next upclose)