Google’s Post-Earnings Trading: Don't Look for Consistency [View article]
I'm intrigued by your analysis on Google, and just have a few questions.
1. Why/how did you choose the 570/580 call spread specifically? Why not others OTM or closer ITM? 2. What percentage of your portfolio would you allocate to a trade like this? Given the amount of time (years of research apparently), I'm assuming you must have taken a very large position? 3. What are your plans for the next earnings releases (pre and post the release)?
Google’s Post-Earnings Trading: Don't Look for Consistency [View article]
1. Why/how did you choose the 570/580 call spread specifically? Why not others OTM or closer ITM?
2. What percentage of your portfolio would you allocate to a trade like this? Given the amount of time (years of research apparently), I'm assuming you must have taken a very large position?
3. What are your plans for the next earnings releases (pre and post the release)?
Thanks!