Some Iv hiding out in the Tech sector due to the middle of the earnings season.

Sold -1 Sep21 70/73 strangle for $2.43 cr.

Risk: 2x cr received to upside, possibly continue to roll put to the downside.
Profit: 50% cr received or manual close on some quick profits (IV collapse due to earnings?)


Trade active
Rolling up the $70 put here for add'l $.88 cr. Price has recovered, so I wanted to gain some bullish delta back. New pay-off diagram looks like this:

snapshot
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