I started trading 6 months ago and adopted and use a 1.5 to 2 std move to pick my strikes. On average I probably collect about 0.1 premium and diversify over 4-5 underlyings.
My go to strategy has been a naked strangle and weighted differently on either leg depending on my assumed direction. To date, ive averaged 2% per month on high volume of trades.
does anyone else find themselves picking up nickles and dimes? im looking for some tips /suggestions/criticisms of my strat because I feel like Ive stagnated in trader development.
open to all comments. thanks im advance!
My go to strategy has been a naked strangle and weighted differently on either leg depending on my assumed direction. To date, ive averaged 2% per month on high volume of trades.
does anyone else find themselves picking up nickles and dimes? im looking for some tips /suggestions/criticisms of my strat because I feel like Ive stagnated in trader development.
open to all comments. thanks im advance!