I closed 1 lot(s) $ARM 20240920 150.0 CALL$ ,Taking profit and reducing risk exposure as market is not going in my favour. Just making the best out of it.
I opened 1 lot(s) $ARM 20240927 150.0 CALL$ ,Some thoughts to this position. 25 basis drop in interest. Peeps gonna panic sell as jobs gonna shrink further and peeps gonna feel that fed is not doing enough to cut interest rate further. Of cos i might be wrong and face the consequences which is within my risk appetite. Cheers everyone.
I opened 1 lot(s) $TSLA 20240920 235.0 CALL$ ,Don’t see why it should be at this price level for the short term. Basically it is just a car company that gets you from point A to point B.