A Trader’s Guide to Profitable Credit Spread Strategies
How do you determine the stop-loss for the Credit spreads? Do you have a favored range for the days to expiration?
I usually use support and resistance levels for SL and usually take profit at 70 - 80% of premium collected.
The problem with high IVR bearish strategies is that IVR sometimes increases if the stock price decreases, making it harder to reach profit.
How do you determine the stop-loss for the Credit spreads? Do you have a favored range for the days to expiration?
I usually use support and resistance levels for SL and usually take profit at 70 - 80% of premium collected.
The problem with high IVR bearish strategies is that IVR sometimes increases if the stock price decreases, making it harder to reach profit.