Trade #1 (closed on 7/13/11)Quote from YIELDSAFE:
Trade #1 (on 7/5/11)
Sold VIX Aug 17 2011 16.0 Put @ 0.70
Bought VIX Aug 17 2011 14.0 Put @ 0.10
Net Credit of 0.60
Trade #2 (closed on 9/15/11)Quote from YIELDSAFE:
Trade #2 (on 8/22/11)
Sold TBT Sep 17 2011 22.0 Put @ 0.66
Bought TBT Sep 17 2011 20.0 Put @ 0.31
Net Credit of 0.35
Quote from YIELDSAFE:
Trade # 4 (opened on 9/26/11)
Sold GLD Oct 22 2011 145.0 Put @ 2.20
Bought GLD Oct 22 2011 143.0 Put @ 1.83
Net Credit of 0.37
Trade #3 (closed on 10/17/11)Quote from YIELDSAFE:
Trade #3 (opened on 9/26/11)
Sold GLD Nov 19 2011 140.0 Put @ 3.17
Bought GLD Nov 19 2011 138.0 Put @ 2.72
Net Credit of 0.45
Quote from starvingtrader:
I like your style. From my brief look at your trades, it looks like you are picking short-term tops and bottoms and using oversold/overbought as your basic indicator (along with some general fundamental analysis I presume). And you are using credit spreads instead of outright swing trades.
1. Could you post your trading size for each trade?
2. Could you post your reasoning for stock selection (and strike selection if that applies)?