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| long kc lets look at this a little closer. if u were to paper trade these 4 spreads all the way to option ex., u would learn a lot about option trading. using friday's close, if u put on these 4 spreads at where they closed, buying nov480 selling dec505 would be risking 4'7 cents plus com. with profit potential of 20'1 - com. if held all the way to ex. and market closed at or above 505. so on mon morning buy 480n sell dec 505 would be least risk with most potential. as time passes risk will increase with profit potential staying the same until the dec opt expires. | |
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