It seems that volatility is the issue for this past week, price action is not that active but due to the wide intra-day swings and the proximity of the FMOC (Tuesday), market makers are pushing the volatility higher on my short contracts, this is making the position look worse than it should. I will be looking at it in more details over the weekend to see exactly what this looks like for the contracts I have in place.
Cheers!
Gustavo
Cheers!
Gustavo











Nothing much to say, except that volatility went up Today due to this morning's gap down.. even though we traded back up during the day, this swing kept volatility higher and this is keeping my profits out for now. The position is doing good and no major change on my game plan from Yesterday, except a few changes on PL due to the volatility spike.











