With a bearish week, focuses trades on risk management.
Rolled this sold put by 2 weeks as the current one will be expiring today and in the money.
Not yet ready to get assigned, so decided to extend the trade further out to buy some time.
Also lowered strike to $14 for better probability of success.
| Side | Price | Realized P&L |
|---|---|---|
| Credit Close | -0.29 | -- Closed |
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