DIA 320/315 Put Credit Spread - March 18th Expiry

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DIA - The index ETF I like to trade but never gives me liquidity haha.

Fill: 0.544 Fill (after comm)
Strikes: 320 short - 315 Long
Max Loss: 500-54 = 445
Short leg delta': 0.16

Reasoning:
1. White lines identified support/resistance zones
2. 10% return on margin and 16 delta short leg was below these zones and provided additional margin of error

Simple trade with simple management - 50% take profit or -200% stop loss

Questions, Comments, Leave them below!
Note
Closed today at 50% profit - or $0.25 Total time open was 26 days. Way longer than normal but the ability of options positions to weather chop like this and still come out on top is why I love them.
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