OptionsRising

V - open weekly 200 puts - close before 1/30 earnings

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I bought 1/31 expiry 200 strike puts at $1.65. Reasons for trade:
1) 60min chart - 20sma in downtrend, 10sma below 20, and RSI still under 50.
2) daily chart - stock retesting up against 10sma.
3) 30min chart - RSI needs to stay below 50, and I am looking for %K stochastic to drop below RSI again, as confirmation of my trade.
4) Risk is low - exit on trade over 203.74, recent 60 min high. Risk goes up if stock opens much higher Wed, so keep trade size small.
5) Reward is high - if price hovers in this area IV will raise option value. If stock drops (see chart) option value gains at least 50%.
*** Close this position before earnings on 1/30 (after market close)
Trade ativo:
Holding puts - see #3 in above comment - RSI back below 50 and nice candle pattern.
Trade ativo:
Position reduced when stock showed 30m closing candle over 203.74 (as per my plan above). Holding a few in case stock turns lower Thursday.
Trade fechado manualmente:
I exited trade on 1/31 for a 74% loss. While it seems huge, my real principal lost was $492. My loss could have been much smaller if I held options into Friday's last hour... no, don't go there. Successful traders are happy with their exits, and they move onward to focus on the next trade setup.
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