I am at cash position. VIX is low and I don’t have a double digit gain mindset this year after 2.5 fat years.
I am thinking to start off with my blue chip PMCC. Eyeing AMZN and MSFT.
I can dump the half way and don’t mind holding the bag.
Wait till the orange drops the news then we can have fun selling spreads again.
What do you think?