Added CGC Sep $55c for 3.8 (2x above position size)
And with all breakouts comes a time to pay the piper. Out of these at 1.6 today for 58% loss.
Anyway, normalized for 1 contract of the CGC $45c (And 2 of the 50 and 55 calls), and 5 of the BOX (which is pretty close to even position size):
$300, $620, $760 on CGC calls respectively, returning $726, $750 + $450, and $320. Total bought $1,680, total sold $2,246. +34%
BOX was bought at $375 and sold at $150
All told, 2,055 in, 2,396 out. +17% (and for those playing the home game, resting orders meant I took rebates in excess of commission on this trade, and fills on the outside of the spread which improved my numbers considerably). So, 17% in 11 days....against the tide of marketable orders...not bad, huh?