Max Loss: 238/contract Max Profit: 62/contract Return on Capital at Max: 26.05% Break Even: 6.38 versus 6.95 Spot Debit Paid/Spread Width Ratio: 79.3%
Notes: Another small, bullish assumption engagement play while I wait for April opex.
Trade active
Rolling the June 19th 7 short call down to the 6 for a .20/contract credit; scratch at 2.18/contract. This is more than the current potential max of the spread (2.00), which isn't ideal.
Trade closed manually
Closed here for a small .17/contract loss and resetting ... .
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