Hi friends,
I have taken a long position at April NF 5766 on 2 April 2013. I thaught of squaring it up last week with a loss of 150-200 points, but I did not do it.
Now, I wonder whether I should close it at the first opportunity next week or should hedge it by buying a put (say 5500PE )
I will be happy to receive suggestions from members.
Thanks and regards,
gmt 900
I have taken a long position at April NF 5766 on 2 April 2013. I thaught of squaring it up last week with a loss of 150-200 points, but I did not do it.
Now, I wonder whether I should close it at the first opportunity next week or should hedge it by buying a put (say 5500PE )
I will be happy to receive suggestions from members.
Thanks and regards,
gmt 900