The day after earnings, IVR remained high around 58%, IV 21.7
Sold the Sep 15 145/170 for 1.70 credit (approximately the 16delta / 1SD range)
Ideally I can manage this for an early profit at $85 or less.
With luck it'll work as smoothly as the last time where it only took a couple weeks to reach 50% of max profit.
Sold the Sep 15 145/170 for 1.70 credit (approximately the 16delta / 1SD range)
Ideally I can manage this for an early profit at $85 or less.
With luck it'll work as smoothly as the last time where it only took a couple weeks to reach 50% of max profit.
Rolled to Oct 20 145/180 for + $1.05 extra credit.
Gives a bit more room on the upside.