I drive the portfolio according to the Greeks. I sell premium every trading day. I don't adjust positions once they are put on. I try to close losing positions when they reach a loss equal to two times the initial credit received. I open new positions to balance out the Greeks.Good stuff. I was more aggressive in selling premium early this week and my positions have come in nicely. What adjustments did you make after Friday? Did you take the opportunity to sell more premium with the bump in vol?

