Currently SHORT the 135 SK and Long the 140 SK (Bear Put Spread) - Thinking of making the following adjustment.
Closing the 135 SK and opening a new spread - Selling the 135 CALL and Buying the 140 CALL (Bear Call Credit Spread).
Diagram shows how my initial Profit and Loss areas have changed.
I am just trying to learn about adjustments with options and thought I would share this with you guys - any thoughts ?
Closing the 135 SK and opening a new spread - Selling the 135 CALL and Buying the 140 CALL (Bear Call Credit Spread).
Diagram shows how my initial Profit and Loss areas have changed.
I am just trying to learn about adjustments with options and thought I would share this with you guys - any thoughts ?
