When a system doesn’t work, stop trading it. No more pre-ER this quarter for me. That means they’ll probably start working like a charm. I’ve been doing these systematically for two years. This is the first quarter where the losses are piling up.
Closed GPC long calls and straddle for a profit (held thru earnings)
Sold a double cal in HON to end up with a profit overall (unusual adjustment)
Full loss on VFC
Still holding AMZN, BABA, CAT, EOG, GOOGL, LITE, LMT, MSFT, ROKU, SHOP, SWK with limited risk. All losing except LITE at this point.
Will update the pre-ER spreadsheet with actual percent gains and losses after the close