msmith03352
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since May 25, 2017
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Down on great earnings Financials expected out performance
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High IVR commanding rich premiums Max gain > max loss Volume very for IPO, seems to be settling but could go anywhere
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12:43:25 May11 short 92 - 84 WMT straddle for 1.50 credit No catalysts (earnings May 17) Uncertainty about competition w/ Amazon is stifling trading volume No sign of strong recovery after earnings miss paired w/ selloff Wide strike spread leaves 5% margin of error
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After today's pop, call premiums are rich and MA support levels imply a high probability of 257 puts expiring OTM. Given the short dated contracts, the theta decay will be accelerated and premium can be collected while the market sorts out trade war turbulence.
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