Option premiums sold $136K.
Profit took $55K.
Open 235 trades, closed 213 trades with 87.3% winning rate.
Average trade duration 16 days.
Mayor losses came from bonds ($ZB_F), actually underestimated both, bond rally and plunge later in the year. Totally missed Trump´s rally. Biggest profits came from oil ($CL_F)
More detailed and real time portfolio metrics here.
Managed money open interest -46K contracts, down -10K in a week.
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