I reversed from short 1375 calls to long 1375 calls and sold a few 1375 PUTs to cover premiums. when it looked like we were going to bust I closed the short PUTs and left the long calls there since I thought they would be next to worthless if we didn't rally. Well everything looks OK for retest of 1403 tomorrow.
PS RE LEND
I went long NDE
no one left alive as publically traded competitors.
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