Strategy: Close Position
Expiration: 16 OCT 26
Strike Price: 210
My Execution Fill: $3.75
๐ Quantitative Metrics at Exit
Gross Transaction Realization: Profit of $1.05 or ~22%
Days Holding Position: 4 Days
๐ ๏ธ Core Exit Logic
Why This Position Was Closed:
We lock in the gains early at around 22% to mitigate tail risk and free up capital.


