They usually link higher revenues to higher volatility (and vice versa) in their reporting. Copying my friend @HideNotSlide who will have advanced insights
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I've scaled my position from 60 contracts down to 25, selling in 5 contract lots. I've added to the equity to the tune of it representing ~20% of my USD long term portfolio. Will sell calls into strong price action, will perhaps never sell [all] of the equity
$VIRTThanks. Twitter will use this to make your timeline better. UndoUndo
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My contracts expire on March 19 and we'll have earnings in between. Given this sort of investing isn't my strong suit and I don't know the business, I'm leaning toward closing the position before earnings.
Thanks. Twitter will use this to make your timeline better. UndoUndo
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