Off to work now, but briefly we made some additions and a very nice subtraction from the portfolio today.
Started a position in ABT buying the September 105 call and selling the September 110 call for a net cost of $78.
Started a position in MCD with the December 240 call for $172.
Started a stock position in ARNC at $22.82.
Sold our HD September $290 call and bought back our August $300 call for a net credit of $595, that was a $449 profit in a couple weeks, or another quadruple.
NVDA $500/$525 call spread is up another $400+ today. We’ll keep a close leash on that one. That’s more than a quad we have going in that company.
Have a great rest of the day!