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Are you trying to change anything with the strategy to account for the increased volatility? Moving further out in price or time? I've been out all year and want to do some additional testing before entering back in. I am going to do some additional testing with either more margin or going out as far as 30% below the current strike.
/rsm005/
Can you help answer these questions from other members on NexusFi?
The longs are 1 delta. Can't move any lower on those and have them do any good. So if longs are 1 delta then you can't move lower on the shorts because the ROI will drop too low to be worth trading.
If it isn't broke don't fix it.
We searched 4 years to find this strategy. We have seen over and over traders blowing up because they didn't have the correct strategy (that firm that lost $600 million in two days comes to mind).
I'm going to stick with what works. Maybe slightly alter it IF we can find something a little better. But I doubt it.