Question about European Options (Index options). I am playing spreads on the weeklys on a demo account.
My question is whether is to buy to close on the sell side on the last day of expiration where the spread is high or allow the contract to expire then opt for a cash settlement.
Any clarification would be appreciated.
My question is whether is to buy to close on the sell side on the last day of expiration where the spread is high or allow the contract to expire then opt for a cash settlement.
Any clarification would be appreciated.