I closed $GME 20250321 45.0 CALL$ ,>90% profits. Not much more premiums to squeeze. Do not want to wait for expiry, using the bounce to add to my short positions
I closed $GME 20250321 31.0 CALL$ ,Ahhh, the culprit of it all, where I sold additional lot instead of closing my position previously. Lost a bit due to my carelessness 😅
I closed $GME 20250321 31.0 CALL$ ,Closed the original lot that I was supposed to close a couple of days back but did not due to a wrong entry resulting in a selling instead. Managed to make some money
I opened $GME 20250417 50.0 CALL$ ,Add back GME position . With current market sentiment, will prefer to short weaker stocks as fear levels appear to be increasing
I opened $GME 20250321 31.0 CALL$ ,Closed my position and take profit with the fall across the market today. Plenty of red throughout the portfolio save for this