Sold 1 TWTR $46 Put, $70 Call – 02/19/2021 Strangle for $312. Collateral for the trade is $877 including the credit collected.
Management plan – To close out at 50% if it reaches that before Twitter earnings on 02/09/2021. If it doesn’t reach 50% before earnings, then take it off before earnings to avoid earnings announcement.
Sold 1 AAPL $112.50 Put, $145 Call – 01/15/2021 Strangle for $145. Collateral $1430 including credit.
Management plan – close out next week hopefully for a small profit.
Sold 1 EWZ $33 Put, $43 Call – 02/19/2021 Strangle for $130. Collateral $509.
Management plan – to close out for 50% profit. Don’t have to worry about earnings since it’s an ETF.
I like it, I’m all in. all aboard.