Looking to either (a) keep the premium; (b) get put the stock cheaper, after which I'll proceed to sell calls against ... .
Metrics:
Probability of Profit: 75% P50: 84% Max Profit: 59/contract Break Even: 13.41
Note
Filled for a .59 ($59)/contract credit. I did this at open, so the position lost some ground thereafter ... .
Trade closed manually
Covering here for a .30 ($30)/contract debit. In for $59; out for $30; net profit 27/contract after fees/commissions. I'm just looking to clean some stuff up before the month end, because I'm slated for jury duty for all of October ... . Ugh.
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