Had i held the position by using 7500PE as my hedge, i could have scratched the trade or even held for long.
Will see what i can do to manage re-entries using options. Bringing in options will also bring in fixed cost of insurance. Management will be much more complex.
Missed the gains from positional because of shakeout yesterday. Did not take position today. Will have to do with few points from intraday.
More analysis to do this weekend. Also need to modify strategy to ensure reduction in shakeouts in future.
How would you have traded this position...