I don’t remember the exact volatility numbers, but my perception at the time pre-earnings was that the IV was pretty good! So I loaded up on CSPs at a bunch of different expiries between 2 weeks to a quarter. Of course, I do try to pace myself a bit in case we get continued dips, to not miss out on lower entry prices.
I don’t remember the exact volatility numbers, but my perception at the time pre-earnings was that the IV was pretty good! So I loaded up on CSPs at a bunch of different expiries between 2 weeks to a quarter. Of course, I do try to pace myself a bit in case we get continued dips, to not miss out on lower entry prices.