8/2 Initial trade: Sold 8/17 $55 Call @ 1.94 Sold 8/17 $50/45 Put Spread @ .56 Total Credit 2.50 (Net 243.50 per contract)
8/9 Rolled Put spread to September: Rolled 8/17 $50/45 Put spread to 9/21 $50/45 Put Spread for no cost
8/17 $55 Call expired OTM
9/18 Rolled Put Spread to October: Rolled 9/21 $50/45 Put spread to 10/19 $50/41 for .65 Credit Total credit 3.15 (Net $301.52), Max loss increased from $256.50 to $598.48
10/12 Rolled October $50/41 Put Spread to November $50/41 Put Spread for .65 credit (net $58.02) Total net credit = $359.54; Adjusted max loss = 540.46
10/31 Rolled October $50/41 put spread to December $50/41 Put spread for .60 credit (net 53.02) Total net credit = $412.56; adjusted max loss = 487.44
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